Responsibilities:
Monitor and report on credit risk metrics and trends.
Early warning management and recommend mitigation strategies.
Assist in the development and implementation of credit risk models and frameworks.
Conduct market research and staying updated on industry trends to inform risk strategies.
Collaborate with cross-functional teams to support decision-making and risk management initiatives.
Responsible for risk data statistics and report submission.
Requirements:
Bachelor’s or Master’s degree in Finance, Economics, Accounting, Statistics, Mathematics, law, or a related discipline. Preference for candidates with a composite professional background in both engineering and economics.
Strong proficiency in office automation tools, including but not limited to Microsoft Office Suite (Word, Excel, PowerPoint), and other relevant software. Advanced Excel skills (e.g., data analysis, pivot tables, VLOOKUP, and macros) are highly desirable. Familiarity with data visualization tools (e.g., Tableau, Power BI) and programming languages (e.g., Python, VBA) is a plus.
Detail-oriented with excellent organizational skills.
Strong communication and interpersonal skills.
Passion for financial markets and risk management.
Ability to work independently and as part of a team
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刊登於 6日前
刊登於 7日前