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Listed below are the top 10 out of 126 listings that are in the same industry and location as the job you were looking for. To see more than 10 listings, click here to search similar jobs in Charlotte, NC


 
 

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To view more listings click here to search Accounting & Finance Jobs in Charlotte, NC


For your reference, we have included the original job posting below.




Global Markets Credit Risk Analyst


Job Number:25310525
Company Name:Bank of America Corp.
Job Location:Charlotte, NC US
Job Category:Accounting & Finance
 

Global Markets Credit Risk Analyst
Title: Global Markets Credit Risk Analyst
Location: NC-Charlotte
Specific Line of Business:
Global Markets Credit Risk Analyst to assist in the day to day credit risk management of a portfolio of counterparty exposure to Structured Finance Special Purpose Entities (SF SPEs). In addition, the role will include day to day support to the Credit Risk Manager covering the securitization finance origination and portfolio management activities within the Global Mortgages and Securitized Products business. The role will focus on:
* Preparation of Credit Approval documents and annual reviews of SF SPEs counterparties, primarily in the Americas and EMEA.
* Maintain various risk monitoring tools and help maintain filing of the portfolio electronic credit files interacting with associates in the Portfolio Management Administration department.
* Use of market data such as rating agencies reports & ratings, trustee reports, Intext and Bloomberg data.
* Assist in the credit risk management of the Securitization Finance, Asset Backed underwriting, and related special projects.
* The candidate will primarily interface with the Credit Risk managers.
General Description:
Performs analysis resulting in actionable recommendations and duties primarily include the regular use of discretion and independent judgment, particularly in matters of significance. Responsible for gathering data and routine analysis to aid in either the underwriting of hedge fund credit risk, issuer risk, credit mitigants in structured transactions or counterparty risk. Incumbents typically have less than five years of experience in credit risk management. Product knowledge or credit skills are necessary.
* Incumbent will typically have 1-2 years of experience after graduation preferably in credit risk management.
* Strong attention to detail.
* Good written and verbal communication skills.
* High level of computer proficiency including MS Office, particularly in Excel and Word.
* Solid analytical skills.
* Degree preferably in Accounting & Finance or Business.
Desired Skills:
* Formal or on-the-job credit training.
* Experience with preparation of credit approval documents.
* Knowledge of derivative products and structured products including CLN, CDO, ABS, CMBS, Mortgage securities, etc.
* Knowledge of traded documentation including ISDA, MFSTA, MRA etc.


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