
Risk Management, Credit Risk Management, Associate / Vice President
Looking for an experienced and driven individual to join our prestigious financial institution, Morgan Stanley, as an Associate or Vice President in Risk Management, specifically focused on Credit Risk. In this role, you will be responsible for assessing and managing the credit risk of our clients and counterparties, ensuring the stability and success of our firm. We are seeking a candidate with a strong background in finance and risk management, who is able to think critically and make strategic decisions in a fast-paced and dynamic environment. If you are a team player with excellent communication skills and a passion for risk management, we encourage you to apply for this exciting opportunity with Morgan Stanley.
- Conduct thorough and accurate credit risk assessments for clients and counterparties, utilizing financial analysis and risk management techniques.
- Develop and implement strategies to mitigate credit risk and ensure the stability and success of the firm.
- Stay up-to-date with industry trends and regulations related to credit risk management.
- Collaborate with various departments and teams within the organization to gather necessary information and make informed decisions.
- Communicate effectively with clients and counterparties to address any credit risk concerns and find mutually beneficial solutions.
- Prepare detailed reports and presentations on credit risk management for senior management and regulatory authorities.
- Monitor and evaluate the effectiveness of existing risk management policies and procedures, and make recommendations for improvement.
- Provide guidance and support to junior team members in credit risk analysis and management.
- Identify and escalate potential credit risk issues to senior management in a timely manner.
- Maintain strong relationships with clients and counterparties, ensuring a positive reputation for the firm in the market.
- Adhere to all regulatory requirements and internal policies related to credit risk management.
- Continuously seek opportunities to improve processes and procedures to enhance the overall efficiency and effectiveness of credit risk management within the organization.
- Participate in industry events and conferences to stay informed about emerging trends and best practices in credit risk management.
- Foster a positive and collaborative work environment, promoting teamwork and knowledge sharing among colleagues.
- Represent the organization and its values in a professional and ethical manner at all times.
Bachelor's Or Master's Degree In Finance, Economics, Or A Related Field.
Minimum Of 3-5 Years Of Experience In Risk Management, Credit Risk Management, Or A Related Role In The Financial Industry.
Strong Understanding Of Financial Products And Markets, Including Credit Derivatives, Fixed Income Securities, And Equities.
Proven Track Record Of Effectively Managing And Mitigating Credit Risk, Including Experience With Credit Analysis, Stress Testing, And Risk Modeling.
Excellent Analytical And Problem-Solving Skills, With The Ability To Identify And Assess Potential Risks And Develop Strategies To Mitigate Them.
Data Analysis
Financial Modeling
Credit Analysis
Portfolio Management
Risk assessment
Risk Mitigation
Credit risk evaluation
Market risk management
Compliance monitoring
Investment Analysis
Risk reporting
Communication
Conflict Resolution
Leadership
Time management
creativity
Attention to detail
Teamwork
Adaptability
Problem-Solving
Empathy
According to JobzMall, the average salary range for a Risk Management, Credit Risk Management, Associate / Vice President in London, UK is between £80,000 - £150,000 per year. This range can vary depending on factors such as experience, level of seniority, and the specific industry or company the individual is working in. Additionally, bonuses and other benefits may also impact the overall salary.
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Morgan Stanley provides investment banking products and services to its clients and customers including corporations, governments, financial institutions, and individuals. It operates through the following business segments: Institutional Securities, Wealth Management, and Investment Management. The Institutional Services segment provides financial advisory, capital-raising services, and related financing services on behalf of institutional investors.

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