Archive for June, 2012
Credit Risk Control, Associate recruitment
The Company Our client is a leading European Bank. The Role You will perform control checks for accuracy of risk data in the credit proposals and to check the credit delegation, perform checks that the credit approval is consistent with the credit request, unless otherwise stated in credit committee minutes. You will manage the registration of credit and capital market lines in the bank’s systems. Handle identification of account anomalies and monitoring and reporting of unpaid overdue amounts. Further, you will monitor the validity and adequacy of security and collateral, maintaining system Read more […]
Equity Market Strategist – Europe recruitment
Market Strategist as part of the idea generation business of Equities Structuring, Global Equities.Equity Market Strategies within Equities Structuring is responsible for the idea generation, development and maintenance of delta-one (non single-stock) investment ideas on the Equities platform. Ideas can be drawn from UBS Securities Research, either with the Equity Market Strategist compliantly crossing the information barrier to work with the Research analyst directly on an unpublished report, or developing ideas based on existing Research looking at themes from own reading of UBS Research and Read more […]
Program Manager – Finance I.T – Tier 1 Investment Bank recruitment
The project is coming to the end of the financial requirements and it is in the early stages from a technical perspective. It is in a set up stage and the manager needs someone to get things operational and actively drive the program forward. He wants someone that has a set of skills from a change program that can drive things through. Ideally the manager needs somebody that is prepared to get hands dirty, set up basic tools and controls and also draw conclusions, criticise and drive the program, educate and bring people forward. Core skillsFinance experience is good but not mandatory. (nice Read more […]
Senior Quantitative Global Investment Analyst (PhD) -Tactical Asset Allocation recruitment
The role will be to create multi-factor methods and tools to support fundamental due diligence research across multiple asset classes [Equity (US and International), Fixed Income, and hedge funds] aimed at improving Mutual fund positioning, portfolio construction, sub-advisor manager selection and risk management. One key objective will be to research and understand how macro-economic cycles drive asset returns globally. Candidates must have at least 5 yrs of experience developing, back testing and evaluating asset allocation, portfolio optimization/construction, asset/liability, and alpha-generating Read more […]
Assistant Vice President, Credit Control recruitment
HSBC Private Bank provides private banking and trustee services worldwide to individuals and their families. Drawing on the strength of the HSBC Group and the best products from the marketplace, we work with our clients to develop services and strategies to manage, preserve and develop wealth for today and for the future.Principle Accountabilities:In the role of a credit controller, you will manage the credit risk of accounts/portfolios and provide support to Marketing (relationship managers) in terms of credit review and analysis. Your responsibilities will include but not be limited to:Credit Read more […]
Basel III & CRDIV Project Manager recruitment
A Major Global Bank is looking for a Delivery focussed Basel III CRDIV Project Manager. The Basel III CRDIV Project Manager will be a very key member of the Banks global IMM programme, and will be responsible for co-ordinating all activities relating to the UK FSA IMM waiver application, whilst working closely with other Credit Risk functions to assist with this high profile and globally focussed programme. Key Responsibilities Plan and execute all deliverables for the UK FSA waiver applicationWork with the key stakeholders to ensure clear communication of project status and risks, Read more […]
Treasury Services – Transaction Approval Risk Manager – AVP (Based in London) recruitment
About J.P. Morgan Chase Co.J.P. Morgan is a leading global financial services firm with assets of $2.1 trillion and operations in more than 60 countries. The firm is a leader in investment banking, financial services for consumers, small business and commercial banking, financial transaction processing, asset management and private equity. Information about J.P. Morgan is available at www.jpmorganchase.com.About J.P.Morgan Treasury Securities ServicesTreasury Securities Services (TSS) generates more than $8 billion in revenue annually and is a global leader in custody, securities lending, fund Read more […]
Senior Private Banker | UHNW South East Asia Clients | Top Tier Global Bank (( Sing )) recruitment
The current team in place consists of six senior private bankers who have been with the bank for a minimum of 6 years. The team currently covers Indonesia, Malaysia and Singapore UHNW Clients therefore no market segmentation will be imposed. The bank has aggressive and well structured growth plans for Asia, therefore they are looking for bankers who have a similiar mindset regarding the opportunities within the region. As a result strong hunter profiles will be given preference, who have a previously demonstrated background in obtaining NNA from client prospecting. A transferable book of Read more […]
Senior Cross Commodity Paper Trader (Energy, Metals) recruitment
We are currently working with a global leading Energy Trading house based in Shanghai, who are currently seeking an experienced paper cross commodity trader with a particular focus on the energy and metals markets. The position requires 5 – 10+ years working experience in the commodity, financial and/or banking / trading house industry, including derivative trading experience and option variance modelling. Must also have experience in the Asian markets. Senior Cross Commodity Paper Trader (Energy, Metals) Marketing, Derivatives, Commodities, Location – China – Shanghai, Salary: Highly Read more […]
Manager of Modelling Methodology I Singapore recruitment
Job Description:• Involve in consumer Retail and SME credit risk scorecards and rating model development, validation, implementation and score strategy analytics.• Acticvely engage in Basel II IRB retail and SME wholesale model methodology and the internal capital assessment process (ICAAP).• Participate in Business wide and portfolio level Stress Test process, and business Risk Appetite assessment. • Evaluate Portfolio risk performance Qualifications Skills:• Minimum 2 years of relevant working experience in IRB model development and/or validation• Intermediate (or Advanced) Statistical Read more […]