Responsible for risk management of Group cross-border and sovereign credit exposure risk in countries with which the Group conducts (or intends to conduct) business. Make and support risk decisions, manage the country risk sector team, manage Group and CIB Country Risk Committees, act as Delegated Authority for Country Risk decisions, co-ordinate Country Risk decisions and management of Country Risk analysts, recommend concentration appetite, develop and apply related policies and procedure.
Qualifications
Minimum Qualifications
- First Degree in BusinessCommerce or any other relevant first degree
Experience Required
- 5-7 years proven interest and expertise in either emerging-market economics, industry, trade, political issues and ESG/climate risk analysis. Experience in assessing African Markets and/or credit analysis preferred. Experience in either Banking, rating agency or consultancy environment. Banking experience with an understanding of corporate and investment products and business lines preferred.
- 8-10 years Country Risk, Business or Equivalent.
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