Credit Risk Analyst

3週間前


Tokyo JERA Global Markets ¥2,500,000 - ¥5,000,000 per year

Responsibilities
Position Description
We are looking for a data-driven and technically skilled Credit Analyst to join our Risk Management team, which plays a critical role in supporting credit decisions across the Japanese Power and Energy markets. This position focuses on building and maintaining analytical tools and data infrastructure that enable efficient and high-quality credit risk assessments.

You will work closely with the Credit Manager, Risk Head, and cross-functional teams including Front Office and Legal, contributing to the development of scalable solutions for credit limit setting, exposure monitoring, and committee reporting. The role offers a unique opportunity to combine financial insight with technical innovation in a fast-paced, market-facing environment.

Key Role Responsibilities

  • Develop and enhance credit risk measurement methodologies, including exposure calculation, stress testing, and scenario analysis.
  • Build, maintain, and improve credit risk management tools, models, and dashboards using internal and external data sources, coding in Python, SQL, and Excel VBA
  • Monitor portfolio-level credit exposures and identify concentrations, trends, and emerging risks.
  • Contribute to the development and implementation of quantitative frameworks for credit limits, collateral management, and credit valuation adjustment (CVA).
  • Collaborate with Front Office, Middle Office, and Finance teams to ensure accurate and timely credit risk reporting.
  • Support automation and digitalization initiatives related to credit risk management and reporting.
  • Conduct credit reviews and counterparty assessments, including financial analysis, industry evaluation, assigning internal credit ratings, and limit recommendations.
  • Monitor counterparties' creditworthiness and alert management to material credit events or deteriorations.
  • Support documentation and approval processes for new counterparties and transactions.
  • Prepare and present materials for management members including Credit Committee meetings.

Qualifications
Key Qualifications and Experience
Language
:
☒ Fluency in English (spoken and written) is Mandatory required.

☒ Fluency in Japanese (spoken and written) is Mandatory required.

Education & Experience:

  • Bachelor's or Master's degree in Finance, Economics, Mathematics, Statistics, Engineering, or related quantitative field.
  • 3+ years of experience in credit risk, market risk, or quantitative analysis in a trading, banking, or energy company environment preferred.
  • Relevant certifications such as CFA, FRM, or bookkeeping qualifications

Skills & Competencies:

  • Strong analytical and quantitative skills with proficiency in data analysis tools (Python, R, SQL, Power BI, or equivalent) preferred.
  • Solid understanding of credit risk concepts (exposure, probability of default, loss given default, CVA, DVA, FVA, MVA etc.) preferred.
  • Experience in developing or maintaining credit risk models or tools is a strong advantage.
  • Familiarity with counterparty credit assessment and credit control processes.
  • Excellent communication and stakeholder management skills.

Person Specification

  • Detail-oriented, proactive, and capable of working independently.
  • Comfortable working in a fast-paced trading environment.
  • Motivated to innovate in risk analytics and process improvement.

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