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Counterparty Credit Risk Business Analyst

2 months ago


London, Greater London, United Kingdom Capgemini Full time

About Capgemini

Capgemini is a global business and technology transformation partner, helping organizations to accelerate their dual transition to a digital and sustainable world while creating tangible impact for enterprises and society.

As a responsible and diverse group of 350,000 team members in more than 50 countries, we are trusted by our clients to unlock the value of technology to address the entire breadth of their business needs.

We deliver end-to-end services and solutions leveraging strengths from strategy and design to engineering, all fueled by our market-leading capabilities in AI, cloud, and data, combined with our deep industry expertise and partner ecosystem.

Your Role

We are seeking an experienced Counterparty Credit Risk Business Analyst to join our team in Capgemini Financial Services.

As a Counterparty Credit Risk Business Analyst, you will leverage your expertise in credit risk across various asset classes to analyze and manage trading scenarios, including products and collateralization requirements.

You will play a critical role in evaluating and monitoring credit exposure, ensuring that robust risk management practices are in place.

Key Responsibilities

  • Conduct comprehensive credit risk assessments on various asset classes within trading scenarios, ensuring appropriate collateralization is applied.
  • Utilize your extensive credit risk experience to analyze and mitigate potential risks, contributing to the overall stability of financial portfolios.
  • Apply your market risk knowledge, including understanding of Risk P&Ls, to enhance risk assessment processes.
  • Assess and manage XVAs, with a particular focus on CVAs, CDS, and collateralization practices, to optimize counterparty risk strategies.
  • Utilize advanced database browsing skills to extract and analyze relevant data, supporting informed decision-making in risk management.

Requirements

  • Credit risk experience on various asset classes on the trading scenarios of products and collateralization required.
  • Credit risk experience is a must.
  • Market Risk know-how (Risk PNLs).
  • XVAs specially CVAs (CDS, Collateralization).
  • Variety of DB browsing skills.