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Job Title Manager - Credit Policy & Portfolio Management
Reference Code PF-0111/2021
Job Summary
We are now looking for an experienced candidate to join a major Chinese Bank's Credit team. - Credit Policy and Portfolio Management - 6 years+ experience - Cr Risk Policy, Cr Portfolio Analysis, Stress Test
Job Description
Responsibilities: Formulate, review and update the Bank’s risk policies, procedures and guidelines especially credit risks related in line with regulatory requirements as well as Head Office’s standard; Perform portfolio credit risk analysis and reporting for the Bank’s loan portfolio; Prepare stress testing of credit risk.
Job Requirment
Requirements: University graduate, preferably Accounting/ Finance/ business related disciplines; 6 years plus relevant experience in banking industry; Experienced in drafting and reviewing credit-related policies & procedures and relevant documents, or credit analysis related; Familiar with regulatory requirements, credit portfolio analysis, credit analysis and trade practices in credit risk management related areas; Proficient in both Chinese and English.
Application Detail
Interested parties, please send your CV (in MS Word format) with availability, current & expected salary and contact phone number to [email protected] with a copy to [email protected] *All personal information collected will be treated in strict confidence and used for recruitment purpose only.
Post Date (YYYY/MM/DD) 2021/06/01
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