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Mario Mansour, Credit & Market Risk Associate

Mario Mansour

Credit & Market Risk Associate·Banque BEMO

Lebanon

Higher diploma, Risk Management

Work experience

Total years of experience: 8 years, 3 months

Credit & Market Risk Associate

September 2020 - Present

Banque BEMO

Beirut, Lebanon

September 2020 - Present

- Assess the creditworthiness of large corporate clients & HNWI along with financial institutions & structured finance activities by conducting thorough Financial Statements Analysis, building Cash Flow models & analyzing qualitative factors; subsequently submitting a Credit Risk Recommendation to the relevant Credit Committees and advise them on the best course of action.

- Conduct quarterly Credit Portfolio Analysis by diligently assessing the bank's credit/asset quality, concentration risks (economic sectors, geographic regions, products, currencies, collateral, etc...) and submitting a report to the bank's Board Risk Committee.

- Conduct yearly Credit & Market Risk stress testing scenarios in accordance with Basel & local regulatory requirements & submit the findings to the Board Risk Committee.

- Prepare reports pertaining to Market & Liquidity Risk Management, including but not limited to: Gap Analysis, Liquidity Stress Testing & Interest Rate Risk sensitivity testing (IRRBB).

- Participate in the bank's ICAAP preparation along with IFRS 9 (Expected Credit Loss calculations) & Basel II and III implementation.

- Ensure all internal credit & market risk policies and procedures are adhered to and help to develop or enhance such policies and procedures.

- Ensure that the highest standards of internal practices are followed by working closely with the Legal, Compliance, Internal Audit, Finance and Treasury & Capital Markets departments along with respective business lines.

Company industry:
Banking
Job role:
Banking

Credit Risk Analyst

January 2017 - June 2019

BLC Bank

Beirut, Lebanon

January 2017 - June 2019

- Assessed the creditworthiness of Medium & Corporate clients by conducting thorough Financial Statements Analysis, building Cash Flow models & analyzing qualitative factors; subsequently submitting a Credit Risk Recommendation to the relevant Credit Committees and advise them on the best course of action.

- Assigned risk ratings generated through Moody's Risk Analyst.

- Followed & reviewed risk trends and market news.

- Ensured that the highest standards of internal practices are followed by working closely with the Legal & Compliance, Internal Audit departments and respective business lines.

Company industry:
Banking
Job role:
Banking

Education

Global Association of Risk Professionals

May 2019

May 2019

Higher diploma, Risk Management

United States

Passed the Financial Risk Manager (FRM) Part I exam.
View attachment

Richmond University

January 2016

January 2016

Master's degree, Finance

United Kingdom

GPA (point): 3.29 out of 4

GPA (point): 3.29 out of 4

Lebanese American University

July 2014

July 2014

Bachelor's degree, Business Management

Lebanon

Skills

Commercial Banking
Expert
Commercial Banking
Expert
Corporate Credit
Expert
Corporate Credit
Expert
Credit Analysis
Expert
Credit Analysis
Expert
Financial Risk
Expert
Financial Risk
Expert
Credit Risk
Expert
Credit Risk
Expert
Python
Intermediate
Python
Intermediate
CREDIT
Intermediate
CREDIT
Intermediate
CREDIT RISK
Intermediate
CREDIT RISK
Intermediate
FINANCIAL MODELING
Expert
FINANCIAL MODELING
Expert
FINANCIAL STATEMENTS
Expert
FINANCIAL STATEMENTS
Expert
MICROSOFT OFFICE
Expert
MICROSOFT OFFICE
Expert
Visual Basic for Applications
Intermediate
Visual Basic for Applications
Intermediate
Risk Assessment
Intermediate
Risk Assessment
Intermediate
Risk Management
Intermediate
Risk Management
Intermediate
Risk Analysis
Intermediate
Risk Analysis
Intermediate
Basel II & III
Beginner
Basel II & III
Beginner
IFRS 9
Beginner
IFRS 9
Beginner
Commercial Banking
Expert
Commercial Banking
Expert
Corporate Credit
Expert
Corporate Credit
Expert
Credit Analysis
Expert
Credit Analysis
Expert
Financial Risk
Expert
Financial Risk
Expert
Credit Risk
Expert
Credit Risk
Expert

Languages

Arabic

Expert

English

Expert

French

Beginner

Training and Certifications

Certifications
Machine Learning for Finance - Python
Certified Advanced Financial Modeler (CAFM)
Passed the Financial Risk Manager (FRM) Part I Exam

Hobbies and interests

Gym, Football, Reading, Travelling