Risk Analyst

04 ago - Milano
Zenith Global

pb Zenith Global /b , now part of IQ-EQ, a leading global investor services group, is a financial intermediary pursuant to Article 106 of the Italian Banking Act (TUB), specialised in structured finance transactions.
Founded in ****, Zenith Global manages more than 300 securitisation special purpose vehicles (SPVs) and approximately €50 billion in assets in its role as Master Servicer.
p Tutti i candidati sono invitati a leggere attentamente la seguente descrizione del lavoro e le relative informazioni prima di candidarsi.
brp With more than 220 professionals across its Milan and Rome offices — with women representing over 63% of the workforce and 80% of management — in **** Zenith Global obtained the UNI/PdR 125:**** b Gender Equality Certification /b and was recognised as a b Great Place to Work /b for two consecutive years, in **** and ****.
Since ****, the company has maintained the highest "Strong" rating assigned by SP Global Ratings.
/p p A market leader in real estate securitisations with over 60% market share, Zenith Global has also continued to innovate by developing, as a proof of concept, the first securitisation transaction using blockchain technology.
Zenith Global performs all roles and activities connected with a securitisation transaction, from the incorporation of special purpose vehicles (SPVs) and their administrative, accounting and corporate management, to cash and payment services, as well as Master Servicing, Back-up Servicing, credit portfolio management, regulatory activities and structuring services.
/p p Zenith Global puts people at the centre, championing continuous development, diversity, inclusion and gender equality—core values of its corporate culture.
/p p To strengthen its b Risk Management /b team, Zenith Global is seeking a b Risk Analyst /b who will report directly to the Head of Risk Management and contribute to the continued development of the Function and the consolidation of the key areas of responsibility outlined below.




/p pb Key responsibilities: /b /pulli Monitor securitisation transactions using a risk-based approach by asset class (e.g., NPL, UTP, performing, real estate), and prepare periodic reporting for the Company's governing bodies.
/lili Enhance the risk management framework for identifying, measuring and managing corporate risks, including ESG and climate-related risk factors, in line with strategy, regulatory requirements and market best practice.
/lili Support ICT risk management activities in line with applicable DORA requirements, including ICT risk assessments, third-party/vendor risk management and incident reporting.
/lili Support the Risk Committee, including preparation of meeting materials and follow-up on action items.
/lili Promote risk culture across the organisation, including by contributing to and delivering risk education sessions.
/lili Prepare risk dashboards and management information for the Risk Committee, the Board of Directors and other governing bodies, ensuring timely escalation of key issues.
/li /ul pb Preferred qualifications: /b /pulli Degree in Economics, Finance or a quantitative/scientific discipline /lili At least 2 years' experience in Financial Services in a similar role, including within a consulting environment /lili Strong English, both written and spoken /lili Strong MS Office skills (Word, PowerPoint, Excel) /lili Collaborative and proactive, with interest in structured finance.
xrdbqlu /li /ul pb What we offer: /b /pulli A role in a dynamic, growing and inclusive environment, with flexible working and the option to work remotely up to three days per week /lili The opportunity to develop specialist risk management skills in structured finance within a solid organisation with a global footprint /lili The opportunity to take ownership of and independently manage key processes and projects within the Function /lili The opportunity to work closely with structured finance specialists and analyse securitisation transactions from the structuring phase onwards.
/li /ul /p /p

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