Risk Manager(Special Assets Monitoring)

Intermediate (3-6 years)


Technical Skills

  • Accountancy
  • Credit Risk
  • Financial Analysis
  • Microsoft Excel
  • Microsoft Powerpoint
  • Microsoft Word
  • Negotiation

Job Description

Risk Manager(Special Assets Monitoring)

Location: Hong Kong


  • Responsible for bank's non-performing assets recovery
  • Monitor Southeast Asian Entities non-performing assets recovery, coordinate non-performing assets management tasks such as IT system, policies, processes and data reporting
  • Assist in the disposal of repossessed collateral and other related documentation work
  • Check the loan classification and impairment provision of non-performing assets
  • Compose analysis report relating to non-performing assets recovery or non-performing assets management
  • Draft and review relevant policy and workflow relating to non-performing assets recovery


  • Degree holder with major in Finance, Accounting, Business Administration or other related disciplines
  • At least 5 years relevant experience in Credit Management, Credit Monitoring, Credit Execution or other related function  
  • Familiar with commercial law in Hong Kong and Mainland China
  • Good knowledge in bank credit products, credit term (interest calculation method) and various types of contract documents
  • Demonstrate strong financial analysis and credit risk management skills
  • Demonstrate strong negotiation skills and interpersonal skills
  • Good command of both written and spoken English, Cantonese and Mandarin
  • Proficient in Microsoft, such as MS Word, Excel and PowerPoint
Employment TypeFull-time
Career LevelIntermediate (3-6 years)
Education LevelBachelor
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