Senior Risk Managers, Credit Risk / Basel Modelling (Bank)

Responsibilities: Perform the various initiatives assigned by Head of Risk Review the impacts of the key risk areas for Basel III development and IFRS9 standards Lead and plan the development and enhancement of the credit risk rating models, IFRS9 Expected Credit Loss models and stress-testing models etc. Requirements: University graduate or…...

Credit Risk Manager, Commercial / SME

Job Responsibilities: Providing an independent assessment of credit proposals originated from the bank’s Commercial Banking and/or SME Banking Division, Ensuring that they adhere to regulatory and policy guidelines and meet the bank’s credit standards, before approving or supporting to higher levels for approval. Responsible for post-approval monitoring of the relevant…...

Credit Risk & Compliance Manager – Banking

Responsibilities: Formulate corporate credit strategy and policies according to prevailing market conditions, regulatory requirements and the risk appetite of the bank Monitor the performance of corporate portfolios to ensure compliance with the bank-wide credit risk strategies, policies and procedures Provide support to credit related compliance and regulatory matters and to…...

Assistant Credit Risk Manager / Credit Risk Officer

Responsibilities: Reporting to the Credit Risk Manager and supporting the team in managing the credit risk cycle, including acquisition, portfolio management, collection strategies, credit systems and MIS reporting for unsecured and secured products offered by the Retail Banking Division. Supporting the coordination and follow up on internal audit, external audit…...

Credit Risk Manager – Portfolio Management (Banking)

Responsibilities: Perform credit portfolio analysis and maintain credit risk policy Prepare regular risk reports to senior management and head office Identify risk factors through data analysis to optimize credit control Conduct credit stress test on the credit portfolio to ensure good portfolio quality and trends Support ad-hoc credit related projects…...

Credit Risk Modelling Manager (Bank)

  Job duties: Formulate stress test models for the Retail and Commercial portfolios, estimate the impact in impairment and monitor stress test results On-going monitor and validate the models. Recommend and implement alignments Responsible for loan loss forecasting and keep track of impairment charge against budget figures Prepare and monitor…...

CREDIT RISK MANAGER (BANK MODELS)

Responsibilities: Formulate stress test models for the Retail and Commercial portfolios, estimate the impact in impairment and monitor stress test results; On-going monitor and validate the models. Recommend and implement alignments; Responsible for loan loss forecasting and keep track of impairment charge against budget figures; Prepare and monitor impairment and…...

Risk Manager, Credit Portfolio (Bank)

Job duties: Perform analysis on the risk data to identify significant credit risk issues Prepare management information reports for submission to Credit Committee Perform ongoing data management activities to be defined in the risk data and reporting guidelines as required by BCBS 239 Perform ad-hoc data extraction, analysis and reporting…...

Credit Analyst (Bank)

Job duties: Responsible for credit analysis and review Preparation of credit proposal write-ups for corporate banking. Job requirements: University graduate in Economics, Accounting, Business Management or relevant disciplines Over 6 years of relevant experience in banking industry, preferably with exposure in sizeable and structured financing relating to debt issuance, syndication,…...

Risk Manager, Strategy and Analytics (Bank)

Job duties: Conduct data analysis on risk related issues and to support the planning of strategy Co-ordinate change requests of credit risk monitoring systems and tools Participate in projects on user’s perspective and liaise with IT and external vendors on system development projects Represent users to participate in requirement, implementation…...