Credit Analyst (Canada)
Unipec America Inc
: Description:
The Credit Analyst will work with the Risk team on credit, and general risk management duties. This role will be expected to interact with cross-functional teams, including trading, operations, and finance to deliver support on day-to-day activities. The successful candidate will have a broad understanding of Risk Management with a focus on credit risk management disciplines.
Responsibilities:
- Conducting fundamental analysis, in connection with new and existing counterparties/relationships, via appropriate levels of credit analysis in support of the organization's commercial and credit risk management portfolio.
- Credit risk management financial modeling in support of fundamental analysis, portfolio reporting, and macro-economic events/fundamentals.
- Active involvement in daily/necessary credit risk portfolio management disciplines and supporting credit risk management portfolio reporting.
- Ongoing review, and negotiation, of key credit terms and conditions inherent to the respective documentation (contracts, GTCs, etc.) that supports the organization's transactions and associated commercial and credit risk management portfolio.
- Review of key terms and conditions incorporated within the organization's Payment Undertakings, including coordinating with the Commercial & Operations teams in issuance of such Payment Undertakings.
- Review and awareness of the organizations credit policy, procedures, and processes as a means of ensuring compliance and adherence thereof while recommending appropriate/necessary modifications in support of a world-class credit risk management function.
- Ongoing surveillance of monthly/quarterly financial data, ongoing surveillance of market news, and other ongoing monitoring.
- Communicate effectively with internal and external customers in a manner that supports the organization's goals and objectives while prudently managing the inherent credit risk exposure that may stem from a particular transaction and/or portfolio.
- Learn and utilize various internal credit risk management systems.
- Ability to perform the principal duties and responsibilities in a timely and accurate manner.
- Bachelor's degree in one of the following majors: Finance, Accounting, or General Business, and/or Economics
- 2 + years of experience in a credit and/or relevant experience
- Basic knowledge of commodity markets, trading concepts and risk metrics are a plus
- Strong planning, organizational skills and self-discipline are essential
- Oil and Gas and/or banking background supported by the disciplines of credit risk management
- Proficiency in Microsoft Excel
- Strong attention to details
- Bilingual in Mandarin and English, specifically the ability to read and write is preferred
- Hybrid work schedule, must be able to report to the Canada office when needed
Please note we will not sponsor, obtain, and/or petition for temporary visa status (for example, E, F-1, H-1, H-2, L, B, J, or TN) for candidates for this position and/or personnel hired for this position.
We are not accepting unsolicited resumes from third-party recruitment agencies; therefore we will not pay a fee for resumes submitted.
$60k - $70k
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