Analyst - Liquidity Access Line (LAL) - Reporting Team

Morgan Stanley

Company Type

Posting Date

Sep 19, 2018

Primary Location

Non-Japan Asia-India-Maharashtra-Mumbai (MSA)


Risk Management Full Time Analyst


Credit Risk
Credit Risk Management (CRM) evaluates credit risk transactions and approves, rejects, or modifies them considering the availability and appropriateness of arrangements for reducing risk or risk mitigation. The department also assigns Internal Credit Ratings; establishes and manages credit risk limits in accordance with the risk tolerance established by the Board; monitors and reports on credit risk exposures on a regular basis to the Chief Risk Officer and senior management. CRM also interacts with business units to ensure that credit riskassessments are factored into business decisions.

Position Summary

Morgan Stanley is seeking a highly qualified candidate for the Credit Risk function responsible for Morgan Stanley Wealth Management’s Liquidity Access Line (LAL) Business. Morgan Stanley is a global leader in wealth management with an extensive network of 1,000 offices across the U.S. and in key international locations. We provide a range of products and services to individuals, businesses and institutions, including brokerage and investment advisory services, financial and wealth planning, credit and lending, cash management, annuities and insurance, retirement and trust.

Responsibilities may include:

·         Preparing and distributing key reports using a variety of sources

·         Monitoring and following up on loan conditions with Credit Professionals

·         Monitor stock prices for highly concentrated equity loans

·         Compiling industry/sector data from public sources for use in presentations

·         Inputting and validating system overrides into collateral systems

·         Measuring collateral volatility against established release rates

Experience Required

·         Strong MS Excel proficiency

·         Familiarity with MS Access and SharePoint

·         Detail oriented, with exceptional analytical skills

·         Well organized and able to work in a fast paced environment

·         Ability to meet deadlines while managing multiple deliverables

·         Possess excellent oral and written communication skills

·         Possess strong problem identification and solution techniques

·         Good collaboration skills in a team-oriented environment

·         Knowledge of global equity markets and how they work

·         Bachelor’s Degree and previous experience in Finance or Credit preferred



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Confirmed 12 hours ago. Posted 25 days ago.

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