Corporate Credit Analyst - Lisbon Or Porto
**Your Main Activities Are**- Preparation of internal documentation for deal closing and
- Review of operational aspects of legal documentation;
document andadvise team on operational
- Submission into the SPG credit workflow
- Initiation and
- up of Know Your Customer requests and client
-
- Booking of trades in internal systems representing the financing and payments made to parties involved in the securitisation
- Request and validate the process of commercial paper
- Control and validate receivables and cash transfers processed by the Middle Office- Portfolio reporting: conduit exposure breakdown, risk dashboard, annual review
- Budgeting and forecasting for P&L, Capital, and
- External reporting: monthly investor and rating agency reports, other presentations as
- Create and update internal credit memo for annual reviews, renewals, amendments and waivers and participate in credit
- Update quarterly securitisation watch list
- Monitor transaction performance, update and review transaction risks (changes in concentrations, performance relative to triggers, compliance with covenants, etc. )- Help maintain and update internal policies and
- Maintain workflow and pipeline
- Assist in implementation and monitoring of new or updated risk
- Liaise with IT and other stakeholders for improvement of SPG tools;
assist in testingupdated
- Review of capital data inputs into for
- Consistency review of data inputs and
- Review and analysis of evolution of capital
- Liaise with the Risk and the Finance teams to provide corrections to data inputs / capital output as needed**Profile and Skills to Success**- Graduate (Engineering School with specialisation in Finance or Business School)- Fluency in English is mandatory, both oral and
- Excel/Access, VBA, database skills is a
- Audit/Accounting knowledge is a
- Understanding and analysing complex/structured products, related risks, and underlying legal
- Knowledge of internal credit and rating methodologies and
- Knowledge of capital, liquidity, and accounting rules regarding
- Ability to communicate and develop good working relationships with different departments (SPG Structuring and Origination, Middle Office, Finance, Risk, Legal, IT, etc. )- Excellent written and oral communication
- Strong availability, tenacity, initiative, commitment and
- Ability to analyse and synthesise complex information, including legal documentation and large
- Flexible, good team
- Ability to work under pressure and deliver within tight deadlines while maintaining high standards**About the Team**- Fully integrated in the BNP Paribas Group, BNP Paribas Corporate and Institutional Banking (CIB) is a leading provider of solutions to two client franchises: corporates and institutions, and operates across EMEA (Europe Middle East Africa), APAC (Asia Pacific) and the Americas. The
- Informações detalhadas sobre a oferta de emprego
Empresa: BNP Paribas Localização: Lisboa
Lisboa, Lisboa, PortugalPublicado: 30. 9. 2025
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