Key Responsibilities:
• Analyze, approve, and monitor counterparty credit risk across multiple trading desks.
• Assess, approve, and oversee the default risk of issuers within the bond investment portfolio.
• Contribute to the development of internal rating models.
• Participate in the creation of credit risk management guidelines, policies, and the establishment of a robust risk management framework.
• Engage in duties related to centralized credit policy.
• Maintain and support the credit risk management database.
• Assist the Credit Framework Head and Team Head in managing designated credit risk management projects.
Qualifications and Experience:
• Bachelors degree in Risk Management, Finance, Economics, Accounting, or a related field.
• 8- 10 years of experience in credit risk management.
• Professional certifications such as CFA, FRM, or CPA are preferred.
• Proactive, detail-oriented, and capable of handling multiple tasks simultaneously.
• Excellent communication and writing skills in both Mandarin and English.
• Cantonese is a must.