Job Description
Responsibilities:
- Perform the various initiatives assigned by Head of Risk Strategy & Governance Department
- Plan and lead the development and enhancement of the credit risk rating models, IFRS9 Expected Credit Loss models and stress-testing models
- Review the impact of the key risk areas for Basel III development and IFRS9 standards
Requirements:
- University graduate or Relevant Professional Qualifications
- Over 5 years of experience in Banking and Finance
- Hands-on experience in assessing risks arising from Head Office’s products
- Acquaintance with the regulatory requirements
- Good report writing and analytical skills
Candidate with less experience can apply for “Risk Manager”