[GERMANY] Senior Credit Risk Specialist – Cross-Product – Options Group
Senior Credit Risk Specialist

[GERMANY] Senior Credit Risk Specialist – Cross-Product

Our client is looking for a Senior Credit Risk Specialist. This is an opportunity that can be done remotely with very limited presence at the headquarters. The successful candidate will join a bank that is growing especially in many fields of business, with high exposure to senior management, clients and a variety of products.

The role will include:
• Structuring of complex credit engagements in various fields of business. The bank is especially growing in Acquisition Finance, Fund Finance, Corporates, Football Finance, Commercial Real Estate, Securitizations (Leasing, NPL, CLO).
• Conduct complex analyses, including cash-flow models, sensitivity analyses, business model analyses as well as balance sheet analyses.
• Development of according ratings and decision memos.
• Monitoring of given loans and the according securities’ documentation.
• Develop new financing ideas and structures to bring the bank and its clients forward.
• Constant correspondence with internal and external stakeholders.

The position requires:
• Several years’ experience in credit risk with a focus on different products as described above
• Substantiated knowledge in credit rating processes
• Ability to quickly understand business models and detect risk factors
• Interest and drive to cover multiple business lines and finding new ways to structure financing
• Fluent German and English skills

If you are interested in this position let’s schedule a call or a meeting. Should you have a current CV, you are more than welcome to send it to me, so I can prepare for our conversation.

Patrick Schäffner
Options Group (Germany) GmbH
+ (Cell)

Über Patrick Schaeffner

Patrick Schäffner ist zuständig für den Bereich Risk Management & Compliance im Frankfurter Büro der Options Group. Zuvor war er bereits erfolgreich bei einer Personalberatung tätig und hat Finanzinstitute, Advisory Boutiquen sowie Industriekunden aus dem DAX beraten. Herr Schäffner hat Moderne Chinastudien sowie Betriebswirtschaftslehre an der Universität zu Köln sowie in Dalian (China) studiert. Im Jahr 2019 beendete er mit Auszeichnung ein MBA-Studium, das seine Kenntnisse in sämtlichen Aspekten des Risikomanagements, Strategie und Management vertiefte.   Bei der Options Group betreut Herr Schäffner internationale Banken, Vermögensverwalter, Hedge Funds sowie Versicherer in Europa und Asien bzgl. deren strategischen Recruitings in Risk und Compliance. Er vertraut dabei auf einen strukturierten und informations-basierten Ansatz, der ihn und die Options Group positiv von anderen Beratungen unterscheidet.   Seine Freizeit verbringt er mit Wandern, Surfen und Fitnesstraining.

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