Managing a credit portfolio focusing primarily on energy (pipelines, utilities, oil/gas producers and IPPs) and trading companies headquartered in the Americas
Job Summary
Managing a credit portfolio focusing primarily on energy (pipelines, utilities, oil/gas producers and IPPs) and trading companies headquartered in the Americas.
Preparing succinct and high-quality credit analysis reports, including risk/reward decisions.
We offer competitive terms of employment, excellent benefits, and an open and collaborative work environment.
Matching Summary
Managing a credit portfolio focusing primarily on energy (pipelines, utilities, oil/gas producers and IPPs) and trading companies headquartered in the Americas.
Salary
$175,000 - $200,000
Skills & Requirements
Must-have
Credit Risk Management
Energy markets knowledge
Credit analysis reports
ISDA with CSAs
NAESB, and EEIs
Credit and finance policies
Nice-to-have
Entrepreneurial thinking
Interpersonal skills
Negotiate and manage conflicts
Work independently and as part of a team
Key Requirements
Minimum 7+ years in Credit Risk Management
Bachelor’s degree in business administration, finance or economics
Master’s degree is a plus
Banking or international trading company experience