2 years of experience must include: Credit risk assessment, monitoring and reporting for a global financial services institution; Various Credit Risk Models including Risk Rating models, stress loss models, and ECL (Expected Credit Loss) models including IFRS9, CECL; Credit risk concepts, including probability of default (PD), loss given default (LGD), and exposure at default (EAD), to enhance risk models and methodologies; Credit Analysis and developing Credit Risk Policies and Procedures; Statistical, qualitative and quantitative analytical skills including regression analysis; Financial Modeling, Financial Statement Forecasting, Macroeconomics; Technologies including Tableau; Enterprise Risk Management; Ad-hoc reporting for senior management; and Leading risk reporting initiatives. Requirements: Requires a Master's degree, or foreign equivalent, in Business Administration, Finance, Economics or related field and 8 years of experience as a Credit Portfolio Officer, Credit Risk Senior Officer, Country Risk Senior Officer, Management Reporting Senior Analyst, Equity Research Analyst, Program Head or related position involving project management.