Credit and Investment Risk Analyst II
We are looking for a professional in Economics, Finance, Administration, Engineering, or related fields, with a minimum of 3 years of experience in investment banking, alternative investments, financial consulting, or risk and credit areas, to evaluate and control the risks associated with issuers, counterparties, and alternative investments, including Private Equity Funds (FCP), ESG criteria, and climate change.
You will be responsible for performing financial analyses, defining risk limits and exposures, recommending the approval or monitoring of issuers and counterparties, evaluating new investment opportunities, developing risk measurement methodologies, monitoring compliance with internal policies and current regulations, and presenting recommendations to the corresponding committees to support investment decision-making.
Advanced proficiency in Excel is required, along with solid knowledge in financial analysis and projections, risk management, project evaluation, and regulation applicable to the financial sector, as well as a minimum English level of 80%.
We are looking for a person with high analytical capacity, customer orientation, collaborative work, integrity, and a focus on continuous improvement.