Our client is an international financial institution operating in specialised corporate and structured financing segments. The organisation combines an entrepreneurial culture with strong risk governance and offers a dynamic environment with close interaction between Risk, Finance and Front Office functions.
To strengthen its analytical capabilities, the bank is seeking a Senior Credit Risk Analyst who will support portfolio oversight, credit analysis and strategic risk monitoring across complex financing structures.
This role offers high visibility within the organisation and provides the opportunity to contribute to the further development of credit risk frameworks in an international setting.
Perform detailed credit risk assessments and portfolio analysis across diversified exposures
Prepare analytical recommendations and materials for internal committees and decision-makers
Monitor portfolio developments and identify early risk indicators
Support the enhancement of internal reporting, analytical tools and methodologies
Collaborate closely with Risk Management, Finance and Origination teams
Contribute to the continuous improvement of portfolio monitoring processes and governance standards
University degree in Finance, Economics, Business Administration or a related quantitative field
Several years of experience within credit risk analysis, portfolio monitoring or structured finance in a banking environment
Solid understanding of risk governance and regulatory expectations within financial institutions
Strong analytical mindset combined with a structured and solution-oriented approach
Advanced Excel and financial analysis skills
Professional English communication skills; German is advantageous
Flexible hybrid working model
20 days Workation within Europe
Mobility and health-related benefits
Modern international working environment with flat hierarchies
Competitive compensation package with long-term development opportunities