Senior Risk Officer, Financial Institutions
Frankfurt am Main, Germany
Senior · Full time
Posted 10 months ago
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Key Responsibilities:

  • Perform and take the lead of the comprehensive risk analysis (credit, market, and liquidity) for current and potential investment opportunities across different markets.
  • Assume the role of Risk Transaction Leader for proposed transactions by performing credit risk underwriting activities, including on-and off-site due diligence for potential investments.
  • Ensure thorough risk reviews of loan agreements and other legal documents in adherence to the company's/Funds' risk tolerance and prudent standards, following the LMA documentation standard.
  • Ensure rregular monitoring of the outstanding debt investments in financial institutions, proactively identifying warning signals and proposing credit mitigation strategies and actions.
  • Uphold the quality of the internal credit rating process and conduct ongoing rating surveillance for the investment portfolio.
  • Stay updated on key market, industry, regulatory, and macroeconomic developments in assigned countries of operation.
  • Ensure and foster close cooperation and coordination with Investment Management and other departments within the organization.
  • Prepare and deliver concise and comprehensive risk-related communications and presentations to key stakeholders, both internal and external.
  • Provide coaching and guidance to junior staff members to help develop their knowledge and skillset.

What we expect:

 

  • Degree in Economics, Business Administration, Finance, or a related field
  • Proven professional experience in assessing risks of financial institutions (banks, leasing and microfinance organizations), gained from international development banks, private banks, international/regional financing companies, rating agencies, consulting firms, or financial sector regulators
  • Familiarity with the financial sector and banking regulatory framework of emerging/frontier market countries. Knowledge of and experience in countries in East African and/or West African markets, their political and cultural context is considered as an advantage.
  • Understanding of core macroeconomic processes and indicators
  • Strong team player with the ability to work confidently, with integrity, and with limited supervision
  • Excellent written and verbal communication skills in English. Knowledge of French is considered as an additional advantage
  • Effective interpersonal skills to interact confidently and clearly at different corporate levels as well as with external parties and stakeholders
  • Ability to organize and prioritize work, meet deadlines, and oversee projects
  • Pro-active, creative, self-motivating attitude
  • Willingness and ability to travel to countries of Finance in Motion’s operations in SSA countries as necessary
  • Demonstrable commitment to Finance in Motion´s vision and mission

 

What you can expect:

  • An agile, widely diverse international working environment with over 60 nationalities that is keenly interested in making a positive difference through their work and who share a collaborative, can-do spirit
  • A job that allows you to fully utilize and expand your skills within an innovative, hands-on company culture
  • A purpose-driven, performance-oriented company that rewards above-average results
  • An organization dedicated to providing effective training and upskilling to its employees

 

 We are 300 plus employees working from our 16 offices worldwide are dedicated to promoting sustainable development through market-based finance solutions. If you enjoy tackling complex challenges in a hands-on manner and are seeking an adaptable and motivating work environment, we would very much like to hear from you.
 
Finance in Motion
Finance in Motion is a global impact asset manager focused exclusively on sustainable development in emerging markets.
Size:  251-500 employees
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