Cib Credit Risk Management- Internship Credit Risk
4 settimane fa
Mediobanca is the leading investment bank in Italy. Internationally our footprint includes branches in London, Madrid, Paris and New York. Since Mediobanca was founded in 1946, we have been helping Italian businesses growth with premier advisory services and a complete range of credit solutions, offering customized services and the most sophisticated solutions on financial markets, from advisory to lending, capital markets to specialty finance. With our long-standing presence, solid market position, distinctive specialization, excellent service quality and professionals of the finest calibre, Mediobanca's corporate customers know they can count on the excellence and exclusivity that have earned us an impeccable reputation over time. Our clients include some of the leading business groups in Italy, plus a significant number of mid-size corporates, to whom we have devoted particular attention over the past ten years. Increasing focus is also being placed on our international clients, for both their cross-border needs and domestic operations. We have introduced new products and targeted new clients in order to meet the challenges posed by today's highly competitive financial markets. As ever it is our clients, along with our professionals and the soundness of our finances, which represent the core values of Mediobanca.
**Posizione**:
Mediobanca is looking for an intern to join the Credit Risk Strategies, Monitoring & Reporting team within the Risk Management department.
The main activities of the Credit Risk Strategies, Monitoring & Reporting team are the following:
- define and monitor, in collaboration with credit analysts, credit strategies, operational limits, risk appetite metrics and thresholds for the Corporate & Investment Banking portfolio;
- monitor and critically examine the portfolio, in terms of asset quality, early warning signals, loan loss provisions, risk-weighted assets, ESG profile and climate risk;
- produce the relevant reporting and support the evidence in front of internal and external stakeholders;
- assess the financial solidity of specific counterparties, also through balance sheet analysis, in order to develop independent opinions on the adequacy and timeliness of the early warning system;
- interact with the business units in order to correctly process transactions in the calculation of risk-weighted assets and provisions.
**Requisiti**:
**Requirements**:
- Degree in economic/finance (or equivalent);
- Problem solving aptitude, critical and logical thinking skills;
- Up-to-date knowledge of the regulatory and accounting framework (Basel III/IV, EBA GLs, IFRS 9);
- Good knowledge of Microsoft Office (Excel, PowerPoint, Word);
- Fluency in English (written and oral).
**Altre informazioni**:
**Immediate availability required.
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