Manager Financial Institutions and Markets Credit Risk, Asia Pacific recruitment
- Report to Senior Manager, FI and Markets Credit Risk
- Achieve profitable growth
- Improve credit risk infrastructure
ANZ is accelerating the growth of its business in Asia. ANZ realises that our greatest asset is our people. That is why we are creating a unique climate of inspiration, leadership, values and great opportunities that will enable the best in market to thrive as part of our diverse team.
Reporting to Senior Manager, FI Markets Credit Risk. The job holder is responsible for the credit risk function for Global Markets businesses of ANZ's Asia Pacific region. The role supports the Markets businesses achieve sound profitable growth of both lending and non-lending assets by maintaining credit quality in line with agreed business strategies that are consistent with the Group's credit principles, policies and procedures through independent and objective credit assessment and advice.
You will assist in setting up and continuing to improve the credit risk infrastructure for Markets businesses in Asia Pacific. The candidate will reinforce a strong credit risk culture across the business ensuring that material risks are understood and effectively controlled. Promoting Group mission vision, values and credit principles through effective communication will develop teamwork between line and credit. The candidate will also support and facilitate an increased awareness of risk policy and goals among staff and stakeholders.
Qualifications:
We are looking to hire candidates with extensive credit or market risk experience in various streams of Markets business plus a strong understanding of Asian markets. Strong analytical skills, hand-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. Prior work experience in relevant disciplines with a leading international house will be well regarded. 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.
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