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CRO
Descripción de la oferta de empleo
At least 5 years of in an analysis or risk area inside investment fund, afore, bank or financial institution.
sobre nuestro cliente this organisation is a prominent player in the financial services industry, it manages secured private debt funds.
descripción implementation of the risk policy for investment vehicles.
design and implement risk matrices by segments and industries.
analysis and monitoring of industry trends.
modeling fund portfolios.
generate as much information as possible on market benchmarks for sectors, industries and even specific to certain investments.
revise the risk manual and integrate it with the credit and operations manual.
development of the methodology for calculating probability of default and loss severity for portfolios.
development of the risk-adjusted return model and portfolio optimization.
perfil buscado a successful cro should have.
a degree in finance, business, economics, or related field.
extensive knowledge of risk management principles and practices.
strong analytical skills and the ability to make data-driven decisions.
excellent communication skills, both written and verbal.
a strong understanding of financial regulations and standards in mexico.
at least 5 years of experience in an analysis or risk area of an investment fund, pension fund (afore), bank or financial institution.
english advanced level.
qué ofrecemos base salary up to $ mxn gross (depending on experience) additional benefits including pdl, meal vouchers, sgmm, parking, and a bonus of 3-9 months.
opportunity to work in a collaborative and innovative company.
chance to influence key decisions and strategies within a leading financial services company.
sobre nuestro cliente this organisation is a prominent player in the financial services industry, it manages secured private debt funds.
descripción implementation of the risk policy for investment vehicles.
design and implement risk matrices by segments and industries.
analysis and monitoring of industry trends.
modeling fund portfolios.
generate as much information as possible on market benchmarks for sectors, industries and even specific to certain investments.
revise the risk manual and integrate it with the credit and operations manual.
development of the methodology for calculating probability of default and loss severity for portfolios.
development of the risk-adjusted return model and portfolio optimization.
perfil buscado a successful cro should have.
a degree in finance, business, economics, or related field.
extensive knowledge of risk management principles and practices.
strong analytical skills and the ability to make data-driven decisions.
excellent communication skills, both written and verbal.
a strong understanding of financial regulations and standards in mexico.
at least 5 years of experience in an analysis or risk area of an investment fund, pension fund (afore), bank or financial institution.
english advanced level.
qué ofrecemos base salary up to $ mxn gross (depending on experience) additional benefits including pdl, meal vouchers, sgmm, parking, and a bonus of 3-9 months.
opportunity to work in a collaborative and innovative company.
chance to influence key decisions and strategies within a leading financial services company.
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Detalles de la oferta
Empresa
- Michael Page
Municipio
- En todo México
Dirección
- Sin especificar - Sin especificar
Tipo de Contrato
- Sin especificar
Salario
- 1200000$ - 1200000$
Fecha de publicación
- 09/08/2024
Fecha de expiración
- 18/12/2024