Investment Bank – Credit Risk Manager – FI’s recruitment

This is an opportunity to work in a challenging environment, exploring new areas and finding new ways to make things work within a company that is accelerating the growth of its business within Asia

Duties:
-Achieve profitable growth of both Lending and non-lending assets
-Continue to set up and improve Credit Risk Infrastructure for Markets business in Asia Pacific
-Credit Risk functions within Global Markets businesses of the companies APAC region
-Reinforce a strong credit risk culture across the business ensuring that material risks are understood and effectively controlled.

Requirements:
-Extensive credit or market risk experience in various streams of Markets business plus a strong understanding of Asian markets.
-Strong analytical skills, hands-on experience on spreadsheet programming is certainly a plus.
-Thorough knowledge of Global Markets credit and risk management principles along with knowledge of international regulatory requirements and practical implementation experience on the subject areas will be essential.
-A university degree in Finance, Economics, Accounting or Risk Management discipline will be preferred.

This is an opportunity to undertake a role offering exceptional opportunities for professional development with a broad range of career paths.