You may also like

Vice President, Wealth Management Credit, Risk Management Group

DBS Bank
  • Accountancy
  • Compliance
  • +5 skills
  • +6 skills

Vice President / Assistant Vice President, Risk & Control, Institutional Banking Group COO Office

DBS Bank
  • Audit
  • Compliance
  • +3 skills
  • +4 skills

Operation Control Manager, E-Banking Security, Commercial Bank, 1268

Sloane Manhattan
  • Audit
  • Compliance
  • +4 skills
  • +5 skills

Senior Risk Manager, Credit Risk Policy & Assessment, Banking, 1219

Sloane Manhattan
  • Compliance
  • Credit Analysis
  • +1 skill
  • +2 skills

Senior Risk Manager, Credit Risk Policy & Assessment, Banking, 1219

Sloane Manhattan
  • Compliance
  • Credit Analysis
  • +1 skill
  • +2 skills

HK GCB Risk Manager Mortgage

Full-time
Senior (6-10 years)

Posted 

Technical Skills

  • Accountancy
  • Analytics
  • Audit
  • Compliance
  • Data Analysis
  • Economics
  • Mathematics
  • Microsoft Access
  • Microsoft Excel
  • Portfolio Management
  • Quality Assurance
  • SAS (Statistical Software)
  • Statistics
  • Stress testing

Job Description

HK GCB Risk Manager Mortgage

Location: APAC-HKG-Hong Kong-Hong Kong

  • Manage the risk/reward dynamics for the Bank’s Mortgage portfolio through establishing overall lending guidelines
  • Develop and formulate acquisition/portfolio policies and conduct analysis to fine-tune the acquisition/portfolio management strategies in order to optimize risk and reward trade-off
  • Closely monitor economic & social environmental factors that would impact to portfolio credit performance and develop proactive mitigation actions
  • Participate in the development and monitor the effectiveness of statistically validated approval tools
  • Ensure all credit processes are in compliance with company policies and requirements set out by the local as well as lead regulator through effective execution of control programs such as self-assessment, quality assurance, application audit
  • Collaborate with other functions such as Product, Credit operations, Technology etc. to drive various business initiatives and proper execution on risk control and portfolio actions
  • Knowledge in Mortgage would be an advantage, as it is expected to participate in Mortgage related projects

Qualifications

  • Degree holder in Qualitative Analysis, Statistics, Accounting, Economics or Mathematics
  • Minimum 6-7 years of portfolio risk and analytics management experience in Mortgage Products
  • Analytical and logical with proficiency in data analysis using statistical or database program e.g. SAS, Access or Excel
  • Strong knowledge and experience in managing credit scorecards, stress testing, segmentation and Basel models
  • Self-initiative, effective communication and interpersonal skills as well as the ability to motivate others, strong sense of compliance awareness
  • Independent and ability to proactively manage evolving challenges is a must
Employment TypeFull-time
Career LevelSenior (6-10 years)
Education LevelBachelor
LanguageEnglish
CitibankFinancial Services, Retail and Commercial Banking

50/F, Champion Tower 3 Garden Road Central, Hong Kong

directions_walk12 mins walk from Admiralty Station