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Corporate Credit Valuation Specialist
hace 2 meses
**Job Summary**
Citibank (Switzerland) Ag is seeking a highly skilled Corporate Credit Valuation Specialist to join our Special Assets Team. As a key member of the team, you will play a critical role in the management, assessment, and valuation of our Wholesale Credit classified portfolio.
**Key Responsibilities**
- Prepare comprehensive corporate valuation and restructuring analysis for stressed and distressed assets and situations, including the determination of write-off, reserve, and risk of loss amounts that directly impact the firm's profit and loss.
- Take ownership of designated projects relevant to the team's business, including major projects and reports such as CCAR, Model Risk Management Report, and Portfolio Reviews.
- Mentor analysts and associates within the team to ensure their professional growth and development.
- Assess liquidity, debt capacity, and other areas of financial and operating performance to evaluate areas of weakness and potential for turnaround, measured by setting and monitoring appropriate classification triggers.
- Model companies' financial position to determine appropriate debt structure and accurate debt value using the most appropriate valuation methodology.
- Track ongoing performance of classified credits, reporting to senior credit and business management.
- Prepare quarterly classification documents with detailed financial and credit analyses to maintain appropriate classifications of ICG classified exposures.
- Collaborate closely with other Special Assets colleagues to remain coordinated on the restructuring/valuation process and assess likely restructuring scenarios.
- Liaise with internal business and product areas in the bank, as well as external fund managers, advisors, and consultants to develop deeper industry expertise.
- Assist with compliance with End User Computing (EUC) and Model Risk Management (MRM) Policy.
**Requirements**
- Knowledge of corporate valuation methodologies, including DCF and multiple-based approaches.
- Strong analytical and problem-solving skills, with the ability to interpret complex financial data.
- Excellent communication and interpersonal skills, with the ability to work effectively with senior management, colleagues, and external stakeholders.
- Proven ability to work in a fast-paced environment, with multiple priorities and deadlines.
- Strong business acumen, with a deep understanding of corporate finance and credit risk management.