Manager, Credit Risk Management (Portfolio Management and limit monitoring)

Bank of Communications Co., Ltd. Hong Kong Branch
  • Monitoring of portfolio credit risk and concentration risk of the Bank;
  • Prepare MIS reports to monitor changes in risk profile and asset quality of the Bank, evaluate trends and prepare analytical reports to senior management and risk committees;
  • Draft, update and review internal policies and procedures for portfolio  concentration risk management, in terms of industry, country, aggregate linked counter-party exposure perspectives;
  • Establishing and maintaining the Bank’s credit risk management framework, risk appetite and internal monitoring limits;
  • Ensuring rigorous alignment with local regulatory standards and headquarter governance policies;
  • Formulate risk strategy to ensure portfolio credit risk being under control;
  • Degree holder or equivalent qualifications at HKQF level 5;
  • Minimum 3 years’ relevant experience from banking industry;
  • Acute sense of credit risk, and sound knowledge in regulatory requirement;
  • ECF achievement on credit risk is a definite advantage.
More job information
Salary negotiable
Job Function
  • Banking · Financial Service - Risk Management
  • Banking · Financial Service - General · Others
Employment Term
  • Full-time
Education
  • Degree

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