Credit Risk Manager - Corporate Lending

Morstan

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Corporate credit analysis
Financial forecasting
Risk appetite assessment
** Morgan Stanley is seeking a Credit Risk Manager to join its Firm Risk Management's Credit Risk Management Department. The role involves analyzing credit risks, managing corporate loan transactions, and enhancing stakeholder communication, while promoting diversity and inclusion within the workplace. **

Job Summary

  • Firm Risk Management supports Morgan Stanley by partnering with business units to achieve efficient risk-adjusted returns and protect the Firm from losses.
  • The role involves analyzing credit risks in corporate loan transactions and derivative trade requests, recommending credit risk ratings, and managing a portfolio of counterparties.
  • Morgan Stanley offers attractive and comprehensive employee benefits and perks, with opportunities for growth in a supportive and inclusive environment.

Matching Summary

Match Score: 75

** Morgan Stanley is seeking a Credit Risk Manager to join its Firm Risk Management's Credit Risk Management Department. The role involves analyzing credit risks, managing corporate loan transactions, and enhancing stakeholder communication, while promoting diversity and inclusion within the workplace. **

Skills & Requirements

Must-have

  • Corporate credit analysis
  • Financial forecasting
  • Risk appetite assessment
  • Derivative financial products
  • Legal documentation analysis
  • Credit risk ratings
  • Loan transaction execution

Nice-to-have

  • Strategic advisor to the Board
  • Client relationship management
  • Economic and market event analysis
  • Diverse backgrounds and views

Key Requirements

  • Bachelor's degree or equivalent
  • Experience in corporate credit analysis
  • Experience in financial forecasting
  • Experience assigning ratings
  • Experience sizing appetite
  • Understanding of financial markets
  • Understanding of financing instruments
  • Understanding of associated legal documentation
  • Understanding of risk mitigating structures
  • Familiarity with derivative financial products
  • Familiarity with legal documentation (e.g. ISDA, CSAs)
  • Strong analytical skills
  • Experience in financial analysis and modelling
  • Proficiency in Microsoft office

Work Rights

Not specified

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