Financial Institutions Credit Risk VP recruitment
FI Risk Management Officer VP
Scope of Role
- Analyze and assess risks in transactions, structure them to mitigate risks and approve or recommend approval to Senior Credit Officers.
- Approve/recommend credit limits for the assigned portfolio.
- Work closely with Relationship Managers or Traders / Salespeople to facilitate transaction approvals, limit allocations or document negotiations related to counterparties under their remit.
- Provide credit input to loan agreements, ISDA and other trading agreements; review and provide input in developing acceptable standard terms for these agreements.
- Work with the Asia Pacific Analytical Center to perform financial analysis as part of the annual review and other portfolio management exercise.
- Use our existing tools to perform appropriate portfolio stress testing.
- Monitor industry, product and macro economic developments and assess impact on portfolio.
- Ad hoc projects
Qualifications Skills
- Graduate Degree in Business, Finance or Economics or equivalent.
- 5-7 years of financial institutions credit or related experience, Capital markets experience is a plus.
- A good knowledge of derivatives / capital market products. Good understanding of ISDA / other trading agreements and loan agreements is beneficial.
- Demonstrate integrity and sound/independent credit judgment on the full spectrum of risk issues including Operational and Franchise Risk, ability to decompose transactions into the core risks
- Strong analytical and quantitative skills.
- Strong interpersonal and communication skills
- Self-motivated with ability to multitask
For any interested parties, please kindly forward your resume to fshi@morganmckinley.com. Thanks! Candidates with experience in dealing with financial institutions and strong credit risk exposure will be highly preferred.
August 28, 2010
• Tags: Financial Institutions Credit Risk VP recruitment, Risk Management careers in the China • Posted in: Financial