Job Openings
Risk Manager, Credit Risk (Banking) (1-year contract, subjects to renewable)
About the job Risk Manager, Credit Risk (Banking) (1-year contract, subjects to renewable)
A reputable China-based Bank with its Group Company listed in Hong Kong is looking for a high-calibre Risk Manager on her Risk Management Department.
Responsibilities:
- Evaluate the risk of credit portfolio
- Assess portfolio concentration risk and set up portfolio limit
- Implement projects for new regulatory requirement
- Prepare risk management reports to senior management and committees
- Handle ad hoc projects upon request
- Giving opinion on internal credit policy & product DD
Requirements:
- Degree holder in Risk Management, Finance, Statistics or relevant discipline
- At least 5 years relevant experience in banking or financial markets with professional qualification in CFA/FRM/PRM
- Good understanding in portfolio management
- Sound knowledge in the regulatory requirements on credit risk perspectives, with hands-on experience in latest risk management development
- Strong analytical mind, independent, good problem-solving and multi-tasks handling ability
- Good communication and interpersonal skills with good report-writing skills
- Good command of PC skills and programming such as Excel VBA, Access, SQL, and Chinese word processing is a must
- Knowledge in Bloomberg application is preferable
- Proficient in both spoken and written English and Chinese, fluent in Putonghua is preferable
- A great team player and a growth mindset
- Candidate with less experience will be considered as Assistant Risk Manager
Interested parties please send your resume in word format with current & expected salary and notice period to janice@hkjobc.com. For details, please feel free to contact Janice at 6365 3508.