Credit Risk Manager (Policy and Monitoring)

Full-time
Intermediate (3-6 years)

Posted 

Technical Skills

  • Accountancy
  • Compliance
  • Corporate Communications
  • Credit Analysis
  • Credit Risk
  • Due Diligence
  • Economics
  • Internal Control
  • Microsoft Excel
  • Microsoft Powerpoint
  • Microsoft Word
  • Risk Management

Job Description

Credit Risk Manager (Policy and Monitoring)

Location: Hong Kong

Responsibilities:

  • Conduct the credit risk due diligence for the new products / services
  • Liaise and coordinate with internal and external parties / regulatory authorities and Mother Bank in overall credit risk management
  • Assist in drafting and organizing the financial disclosure of credit risk management;
  • Responsible for internal control and compliance work of credit risk. Provide support and coordinate the work of credit risk units
  • Other projects / duties as assigned by superior

 

Requirements:

  • Bachelor or above in Risk Management, Business Administration, Finance, Economics, Accountancy or related disciplines
  • Professional qualification in ACCA, CFA, ACIB, FRM, PRM or equivalent will be an advantage
  • 3 years or above experience in credit risk management or corporate credit approval
  • Sound understanding of the risk issues across a wide variety of corporations, industries and regions;
  • Excellent analytical, communications and interpersonal skill
  • Good command of both written and spoken English and Chinese. Proficient in Mandarin will an advantage
  • Good at using MS Word, Excel and PowerPoint
Employment TypeFull-time
Career LevelIntermediate (3-6 years)
Education LevelBachelor
QualificationCertified Financial Risk Manager (FRM), CFA Level III / CFA Charterholder, Chartered Banker Diploma (CBD)
LanguageEnglish, Cantonese, Mandarin (Putonghua)
Bank of ChinaInvestment Banking and Brokerage

24/F Bank of China Tower 1 Garden Road Hong Kong

directions_walk10 mins walk from Admiralty Station