Gestionnaire Risques Banque – Monitoring (H/F)
ARC MONTE CARLO · Monaco
Description du poste
About the role
The client, a leading bank in Monaco, is seeking a Risk Management Officer to monitor credit risk on loan portfolios and financial assets pledged as collateral. The role involves daily valuation updates, risk detection, and communication with private bankers and senior management.
Key responsibilities
- Perform daily monitoring of credit risk across loan portfolios and collateralized financial assets.
- Update collateral valuations each day using the SID system.
- Identify risk situations such as defaults, insufficient collateral, margin calls, and unauthorized commitments.
- Conduct first‑level quantitative and qualitative analyses of identified risks.
- Alert private bankers and management according to internal procedures.
Required profile
- Strong analytical mindset with the ability to retrieve and synthesize complex data.
- Proactive, results‑oriented, and able to work effectively within a team.
- Excellent communication and pedagogical skills.
Required skills
- Perfect mastery of Microsoft Excel.
- Advanced knowledge of VBA (Visual Basic for Applications).
What we offer
- Fixed‑term contract until 27/02/2027.
- Compensation aligned with profile and experience.
- Immediate start date.
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Salaires par métier
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- French+English Bilingual Customer Service Representative 7
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