





Tier-1 bank and metro location balanced by niche funds credit specialization, producing moderate competition.
Requires specialized funds credit risk experience, making cross-industry transferability low.
Explicit 6-8 years, sector-specific credit experience and preferred MBA/CA/CFA make shortlisting highly strict.
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Perform fundamental credit analysis and prepare Credit Analysis Write-up Memos and Final Obligor Risk Ratings for Citi's Real Money Funds clients in the EMEA region.
Continuously monitor portfolio credit quality, industry trends, and escalate potential credit issues to relevant partners and stakeholders.
Support the Funds Credit Analyst Team Lead with adhoc tasks and guide junior analysts, partnering with underwriting, 2LoD, and banking teams on credit assessment standards.
6-8 years of credit experience in Banking, Credit Risk Management or equivalent within Financial Services.
Experience with Real Money Funds, Pension Funds, and relevant Counterparty Credit Risk (CCR) measures.
Education: MBA, CA, CFA or equivalent professional qualification.
Experience preparing clear presentations for senior stakeholders; proficiency in Microsoft Word, Excel, PowerPoint.
Experienced in wholesale credit processes with strong organizational knowledge of Institutional Credit Management (ICM) functions and risk frameworks.
Demonstrated ability to work independently under stringent deadlines with ownership of deliverables and proactive workload management.
Strong strategic orientation to support credit risk best practices and effective communication skills for senior and cross-functional audiences.