Portfolio Manager


Gi Group HR Solutions


Serbia, Novi Sad



Field of work:


Required sections in CV:
  • Work experience
  • Attachment CV

On behalf of our client, a successful international banking system, we are looking for an experienced and proactive professional to fill in the following position:

  • Implementation of risk management strategy and policies within the procedures and work instructions for portfolio management;
  • Classification of balance sheet assets and off-balance sheet items of the bank, in accordance with local regulations;
  • Control and reconciliation with the general ledger of data in the loan portfolio;
  • Manage reconciliation of data and calculation of credit risk-weighted assets in accordance with local regulations;
  • Supervision and analysis of reports submitted to the National Bank of Serbia;
  • Participation in the process of internal capital adequacy assessment and stress testing related to credit risk;
  • Control and analysis of the Basel III capital adequacy report of the bank;
  • Implementation of new regulations and participation in projects related to portfolio management;
  • Communication with internal and external auditors and control of the NBS.
  • VII degree in the Faculty of Economics or related field;
  • At least 3 years of work experience in bank risk management department;
  • Advanced knowledge of banking operations and relevant domestic legislation and regulations
  • Ability to coordinate business processes through performing multiple tasks;
  • Strong analytical and organizational skills;
  • Excellent communication skills;
  • PC literacy;
  • Fluency in English.
Deadline: 06/11/2020
Please note that only short-listed candidates will be contacted.

If you have any additional questions regarding the position, please contact us Gi Group Serbia.
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