CREDIT ANALYST – CORPORATE BANKING – N.ASIA REGION COVERAGE recruitment
Hong Kong$50-70KA large foreign corporate bank in whom are market leading players in their respective country is seeking an experienced credit analyst for the corporate banking team primarily focusing on large corporate clients in North Asia.As a credit risk analyst, you will conduct credit risk analysis, monitor portfolio, detect early warnings signals for problem accounts and assist the origination team on credit applications. Countries of coverage include Hong Kong, Korea, Japan, China, Taiwan. With a minimum of 5-10 years relevant experience in corporate banking credit risk management within Read more […]
Investment Bank – Prime Brokerage – Risk – Change Management recruitment
This opportunity can offer you the chance to manage a small team focusing on PB, SBL and ETD collateralised trading and margin. You will work closely with Clients and internal stakeholder to ensure that the firm’s margin risk exposure is evaluated and monitored consistently with the Firm’s internal risk guidelines. This individual will contribute significantly in analysing and determining appropriate collateral/margin requirements.You will get to cover a wide range of products including Cash, Derivatives and Fixed Income.Description: Duties ResponsibilitiesDaily assessment of Hedge Fund margin Read more […]
CREDIT ANALYST – BLUE CHIP CORPORATES recruitment
Hong Kong$30,000 – 35,000KA foreign corporate bank with stable presence in Hong Kong has created a new requisition for an experienced credit analyst for the corporate banking team primarily focusing on Blue Chips/Large Corporates sized clients.As a credit analyst, you will conduct credit analysis and work closely with the relationship managers in order to submit to the credit approval team for review. You will also be responsible for, credit rating applications, financial analysis and cash flow modeling; and to perform the credit control and credit monitoring functions, etc. With a minimum of Read more […]
Market Risk Manager | Hong Kong recruitment
Senior Manager | Market Risk ManagementLocation: Hong KongHKD900,000 – HKD1.5m + Attractive Bonuses RemunerationThe ideal candidate should have strong credit knowledge and good market risk experience. This role presents good career progression and prospects along with an attractive remuneration package.The responsibilities of the Market Risk Manager role:Able to monitor market risk within the Credit Trading and Capital Markets businessStrong VaR, Stress Testing, Back Testing knowledge for calculation purposesResponsible for business growth according to market limits through accurate analysisOversee Read more […]
Consultancy – Risk – ALM – Liquidity / Market risk recruitment
ResponsibilitiesAs part of a team of professionals, provide advisory services to clients on the development and implementation of risk management policies, systems and controls, and regulatory issues within Asset Liability Management Review ALM risk management policies and procedures against Hong Kong/China regulatory requirements and against the best international practices; identify opportunities for enhancement; assist clients in developing an implementation strategy and in resolving implementation issuesAssist clients in understanding and meeting regulatory requirements, including responding Read more […]
Regional Head of Regulatory & Risk Analytics, Wholesale & Market Risk recruitment
Job Role:The role is responsible within Wholesale and Market Risk (WMR) for development and validation of all analytic models used risk management, stress testing and generating capital requirement. The role will be responsible for ensuring regulatory compliance for the analytic models, ensuring they meet the group modeling standards and implementing governance to manage model risk within the region. The role will also be the key regulatory and industry liaison person for WMR.• Providing analytic solutions to WMR function and Global Business lines that we support. This would include models Read more […]
Senior Portfolio Risk Manager | Retail | Hong Kong recruitment
Responsibilities for Portfolio Risk Manager• Manage full spectrum portfolio risk management strategies for consumer credit products in Asia Pacific region• Formulate business solutions including implementation plans that deliver optimal risk-reward balance resulting in maximal profitability• Employ cutting-edge decisioning techniques for effective portfolio risk strategy development• Monitor and evaluate adaptive portfolio risk strategies to identify continuous improvement opportunities• Provide consultation to local teams on managing risks associated with their existing portfolios• Work Read more […]
Market Risk Director | North Asia – Hong Kong recruitment
Market Risk Director | Team HeadLocation: Hong KongHKD1.2m – HKD2m + Attractive Benefits BonusesThe role is a Global Team Head role focusing on Equities and Credit Products. Candidates from outside Hong Kong can apply but preference will be for candidates already based in Hong Kong.The Responsibilities of the Market Risk Director:Be responsible for monitoring of Market Risk globally for the BankFocus on Equities, Capital Markets and Traded Credit products on a holistic basisBusiness development and business growth according to risk limits through detailed and accurate portfolio analysis.Monitoring Read more […]
Risk Governance Manager recruitment
Brief outline (please email for full details)- Group Policy and Regulatory – Connect with Head of Business/stakeholders and outline plans, engage buy-in- Create analytics based reports to ensure the business are aware of risks and improvements- Take ownership of completing Risk process road-map- Integrate Risk knowledge into training for staff and management Background required:You will come from a background where you have exposure to both front line relationship management and risk control (ORM or Compliance/Reg), meaning your skills are a mix of product knowledge and risks associated with business Read more […]
AVP/VP, First Level Analysis, Banks/NBFIs recruitment
Within the Corporate and Investment teams in Operations, Business Support (OBS), the First Level Analysis of Financial Institutions and Public Sector is in charge of preparing and submitting credit applications to the Credit Committee. Financial risk analysis, rating proposal, writing credit applications and recommendations for the Credit Committee will be the main role.Job Descriptions:Propose ratingParticipate in Due Diligence meetings for NBFIsEnsure the relationship with the fronts to anticipate requests and help them to guide the risk-taking, help in editing and writing mitigants, i.e. Read more […]