For this role, you will be in charge of the management of a portfolio of counterparties with a focus on energy and industrial companies and Preparing Credit reports including Risk Return decisions amongst other duties.
The ideal candidate will have the following:
Knowledge of analysing corporate and financial institutions from a credit risk, balance sheet and cash flow perspective.
Experience in credit management, financing, risk controlling or a similar background preferably in an international trading organization or banking environment would be useful.
Knowledge of credit terms in contracts.
Good university degree in business administration or economics.
Excellent self-motivation, independent and reliable working approach
High level of social competence and ability to handle conflicts
Business fluent English language skills are a must, French would be useful and other language skills would be a plus
Offering a competitive salary and benefits structure alongside excellent career progression opportunities.
Please contact Sam at Marlin Selection for more information or apply via the link below.