Zenith Global S.p.A. · Milano, Provincia di milano, Italia ·


Descrizione dell'offerta

Zenith Global is a financial intermediary registered in the single register held by the Bank of Italy pursuant to Article 106 of the Italian Banking Act, specialized in managing structured finance transactions in Italy. In 2004, it was the first to obtain the Master Servicer rating from Standard & Poor’s, raised to Strong, the highest level, and in 2025 it renewed its Great Place to Work certification.

Zenith Global puts people at the centre, championing continuous development, diversity, inclusion and gender equality—core values of its corporate culture.

To strengthen its Risk Management team, Zenith Global is seeking a Risk Analyst who will report directly to the Head of Risk Management and contribute to the continued development of the Function and the consolidation of the key areas of responsibility outlined below.

Key responsibilities:

  • Monitor securitisation transactions using a risk-based approach by asset class (e.g., NPL, UTP, performing, real estate), and prepare periodic reporting for the Company’s governing bodies.
  • Enhance the risk management framework for identifying, measuring and managing corporate risks, including ESG and climate-related risk factors, in line with strategy, regulatory requirements and market best practice.
  • Support ICT risk management activities in line with applicable DORA requirements, including ICT risk assessments, third-party/vendor risk management and incident reporting.
  • Support the Risk Committee , including preparation of meeting materials and follow-up on action items.
  • Promote risk culture across the organisation, including by contributing to and delivering risk education sessions.
  • Prepare risk dashboards and management information for the Risk Committee, the Board of Directors and other governing bodies, ensuring timely escalation of key issues.

Preferred qualifications:

  • Degree in Economics, Finance or a quantitative/scientific discipline
  • At least 2 years’ experience in Financial Services in a similar role, including within a consulting environment
  • Strong English, both written and spoken
  • Strong MS Office skills (Word, PowerPoint, Excel)
  • Collaborative and proactive, with interest in structured finance.

What we offer:

  • A role in a dynamic, growing and inclusive environment, with flexible working and the option to work remotely up to three days per week
  • The opportunity to develop specialist risk management skills in structured finance within a solid organisation with a global footprint
  • The opportunity to take ownership of and independently manage key processes and projects within the Function
  • The opportunity to work closely with structured finance specialists and analyse securitisation transactions from the structuring phase onwards.

Informazioni aggiuntive

Opportunità: Risk Analyst a Milano, Provincia di milano

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Competenze valorizzate

  • Excel
  • Reporting

Lavorare a Milano

Milano è il principale hub economico italiano, con un mercato del lavoro dinamico e opportunità in tutti i settori, dalla finanza alla tecnologia.

Competenze rilevate

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