Risk Analyst - Portfolio Monitoring

Permanent contract|Bucuresti|Risks

Risk Analyst - Portfolio Monitoring

Bucuresti, Romania Permanent contract Risks


Main responsibilities:

 Contribution to portfolio monitoring activities against regulatory and budgeted targets

 Contribution to the elaboration of reports related to credit risk

 Participation in the monthly processes of ECL validation and booking


Mandatory skills:

 Completed higher education / Graduate or post-graduate qualifications in economics or finance related disciplines (or equivalent)

 Risk management/ credit risk reporting knowledge

 Capacity for analysis, synthesis and attention to details 

 IT skills: Microsoft applications - Word, Excel, PPT

We offer:

 Highly motivated team, dynamic work environment with diversified activities

 Opportunity to develop / improve technical skills (SAS, Excel, PPT) and knowledge of credit risk and IFRS 9


Departament Risc - Centrala - Turn BRD Victoriei

We are an equal opportunities employer and we are proud to make diversity a strength for our company. Societe Generale is committed to recognizing and promoting all talents, regardless of their beliefs, age, disability, parental status, ethnic origin, nationality, gender identity, sexual orientation, membership of a political, religious, trade union or minority organisation, or any other characteristic that could be subject to discrimination.

Reference: 22000NEZ
Entity: BRD
Starting date: 2022/10/31
Publication date: 2022/08/04