Banking Specialist - Valuation Area - RISK DIVISION
Responsible for supervising and monitoring the Bank’s processes dealing with collateral valuations and revaluations, and insuring the compliance with Regulatory requirements and best practices;
Close cooperation with Evaluation Department and external providers of valuation services;
Credit portfolio analysis and regular reporting to Senior Management on performance of portfolios, with focus on collateral monitoring and valuation;
Involvement in the development of effective monitoring techniques, as well as in the improvement of the reporting process;
Gathering and analysis of economic data to determine impact on business operations;
Experience in property valuation and good knowledge of valuation standards and best practices are a strong advantage;
Analytical, computer skills. MS Excel intermediate/advanced knowledge is a must.
Experience in working with large datasets, data processing is a strong advantage;
Master degree (preferable in finance, economics or mathematics) would be an asset;
Able to establish and keep timelines;
Fluency in English (spoken and written).