
Corporate Risk Analyst
Belgium
Apply by 7 Dec 2025
0.0 - Per Day
Job Ref.: 55552
Job Description
Analysis and management of credit and sustainability risk for various asset classes such as banks, corporates, real estate, ABS, etc.
Integrating ESG factors into your credit analyses and risk assessments
Formulates advice on potential investment risks and opportunities and proactively advises stakeholders on these.
Collaborate with the treasury team, the executive committee, regulators and ensure they understand your advice.
Active participation in internal consultation structures and mentoring of the team.
Controls the quality and consistency of reporting processes and ensures that they are in line with strategy and applicable regulations.
Master level and supplement this with at least 5 years of experience in credit risk analysis.
Experience with Solvency and Basel regulations is a strong plus.
Strong analytical skills and the ability to make complex connections
Explain complex advice in simple, clear language thanks to your communication skills.
Being able to work independently
Be proactive
Be very strong in communication
Switching between complex analyses and explaining your strategic recommendations (rating committee)
Be able to read balance sheet and income statement!
Working with model
Immediately deployable
It's important to know that you are expected to deliver three fully completed qualitative analyses! This is an absolute requirement!