Country Risk Analyst - AVP

London, UK
GBP55000 - GBP60000 per annum
07 May 2021
01 Jun 2021
Job role
  • Support with the provision of country risk research and opinion within the European Risk Management Office for the wider Bank. This will include the attendance of relevant meetings externally, as and when required.
  • Update existing and add new Excel workbooks in order to enhance the quality of EMEA Country Risk research products in an efficient and accurate manner, with a primary focus upon Europe and Eastern Europe. This will include the establishment of an efficient filing system for the region's research and databases.
  • Deliver and contribute to presentations, discussions and forums within the Bank on the EMEA region when required by the line manager.
  • Participate in the internal country grading process, particularly with respect to administrative tasks.
  • Make written contributions in the form of country risk reports and ad-hoc notes under the line managers,' (or his nominated deputy's) supervision.

Essential Experience:
  • Prior experience working in a research post in another bank or economics research institution.
  • Experience and knowledge of bank products and policy formulation.
  • Sovereign debt restructuring and/or ratings agency exposure.
  • Experience of working to tight deadlines and keeping to set-down work guidelines.

  • Working knowledge of statistical modelling and economic forecasting model work.

  • An ability to write in clear and disciplined manner that is commensurate with working in a Bank.
  • BA (Honours) in Economics/Economic History/ Development Economics, or a similar field.

Preferred: MA in a similar degree

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