Well known foreign corporate investment banking player with stable and progressive growth throughout the past few years
about the team.
Stable team based in Hong Kong with offshore supporting resource
about the job.
Perform credit analysis, evaluation and risk assessment on clients including banks, non-bank financial institutions(NBFIs) and sovereigns in APAC region
Prepare and review credit proposal, application and determine internal counterparty ratings.
Conduct independent due diligence related to industry and regulatory updates as well as financial analysis
Partner with internal stakeholders and business lines to provide recommendations on deal structure, risk, and return.
Monitor FI portfolio on the latest development, including credit rating changes, adverse news release, credit events, etc.
skills & experiences required.
Bachelor degree or above
At least 8 - 10 years (or above) of FI credit risk experience in the banking industry.
Product knowledge on rate, credit, OTC derivatives; understanding on trade finance is a plus
Excellent communication skills; self starter and detail-minded
Proficiency in both written and spoken English and Chinese/Mandarin.
To apply online, please click on the link. Alternatively, for a confidential discussion please contact James Cheng on + 852 2232 3442 or email: james.cheng@randstad.com.hk
show more
about the company.
Well known foreign corporate investment banking player with stable and progressive growth throughout the past few years
about the team.
Stable team based in Hong Kong with offshore supporting resource
about the job.
Perform credit analysis, evaluation and risk assessment on clients including banks, non-bank financial institutions(NBFIs) and sovereigns in APAC region
Prepare and review credit proposal, application and determine internal counterparty ratings.
Conduct independent due diligence related to industry and regulatory updates as well as financial analysis
Partner with internal stakeholders and business lines to provide recommendations on deal structure, risk, and return.
Monitor FI portfolio on the latest development, including credit rating changes, adverse news release, credit events, etc.
skills & experiences required.
Bachelor degree or above
At least 8 - 10 years (or above) of FI credit risk experience in the banking industry.
Product knowledge on rate, credit, OTC derivatives; understanding on trade finance is a plus
Excellent communication skills; self starter and detail-minded
Proficiency in both written and spoken English and Chinese/Mandarin.
...
To apply online, please click on the link. Alternatively, for a confidential discussion please contact James Cheng on + 852 2232 3442 or email: james.cheng@randstad.com.hk
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