Senior Options Credit Risk Analyst
We offer a range of FX services aimed at corporate and institutional clients to manage foreign exchange exposure and international payments. Our team of experts provides personalized and proactive service, helping clients execute thoughtful FX strategies tailored to their specific business needs.As part of the Monex SAB de CV financial group, we support over 70,200 clients worldwide, offering local expertise in various regions including the UK, Luxembourg, Canada, and Singapore.
Our goal is to empower clients to make better-informed business decisions in a fast-moving and volatile market.Department OverviewThe Risk Department is tasked to establish, implement and maintain risk management policies and procedures that are effective in managing the risk exposure of Monex Europe.The aim is to maintain Monex Europe/s risk profile within the risk appetite while allowing the group to pursue its goals.Job OverviewAs a member of the credit risk team, the Senior Credit Risk Analyst is responsible for assisting the team to manage the counterparty credit risk exposure of the business including option products and Target Redemption Forwards (TARFs).The role involves assessing the creditworthiness of counterparties, negotiating collateral terms in contracts in conjunction with Front Office, monitoring credit risk indicators, exposures, limits, and reviewing the credit quality of Monex Europe/s counterparties on a portfolio basis.Key Responsibilities including Forward and Derivative products.Strong organisational and time management skills.