Job Responsibilities Design, plan and implement the Counterparty Credit Risk Management Framework to ensure... Counterparty Credit Risk in the Bank is adequately and appropriately managed under the supervision of Market Risk Head Perform...
Industry Risk & Regulatory Financial Crime Work you'll do Lead team to solve business problems and deliver and implement... data driven offering solutions, lead and guide team on establishing proactive risk solutions by applying Deloitte...
and existing clients, including financial analysis, credit scoring, and risk profiling. Develop and maintain credit risk policies..., procedures, and approval frameworks aligned with corporate risk appetite. Monitor client payment behavior and credit exposure...
of risk management. Assessing credit risk associated with diverse financial transactions Managing market risk exposures... and developing risk mitigation strategies Reviewing credit risk, and overall risk Act as a key contact point for Headquarter...
management strategies, encompassing various investment vehicles such as mutual funds, private equity, private credit, hedge funds... of regulatory compliance, process redesign, and risk management within the capital markets and asset management space. Bilingual...
, risk or data analytics teams within the fintech or financial services industry. Deep understanding of credit card... prevention, risk management and data analytics, giving you the chance to shape how Reap scales securely in the worlds of global...
Responsibilities Conduct credit risk analysis for Corporate, non-Bank Financial Institution and Financial Institution... analysts Liaise with external & internal stakeholders (including Risk Management, Business and Relationship Manager...
Credit Analyst / Credit Analyst . Location: Hong Kong | Singapore | Shanghai Reporting to: Credit Manager Regional... Focus: APAC and MENA Key Responsibilities Evaluate credit risk and recommend credit limits for trading counterparties...
Responsibilities Conduct credit risk analysis for Corporate, non-Bank Financial Institution and Financial Institution... analysts Liaise with external & internal stakeholders (including Risk Management, Business and Relationship Manager...
regular loan and credit risk reporting. Arrange callbacks and monitor transaction workflow to adhere to HKMA regulatory...Regional Credit administration Senior Officer Regional Credit Admin Headcounts Global bank with USD 1,500 Mill+ H2...
with a strong Asia presence, is seeking a Credit Approval Manager to join their Corporate or SME team. Job Description Assist in the... review and approval of credit applications for corporate and SME clients. Conduct financial analysis and risk assessments...
Private Credit/Debt Investment Manager Job Duties – Senior Roles and Founding Members for the Asia Hub in HK Assume... Manager & Private Credit Investment Hybrid Work Mode & Dynamic Investment Expo #J-18808-Ljbffr...
Banking Department. Job Responsibilities: Support Relationship Manager on preparing credit proposal Conductfinancial...Our client is a leading Corporate Bank. Currently they are looking for ARM / Credit Analyst to join their Corporate...
Manager/VP Quant Risk Analyst - Counterparty Credit & Market Risk Focus on OTC products and financial risk Strong SQL/Python... validation of critical models (market risk VaR, credit risk PD/LGD, derivatives pricing, etc.). Bilingual in Chinese and English...
Firm Risk Management Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering... with business units across the Firm to realize efficient risk‑adjusted returns, acting as a strategic advisor to the Board...
Coverage Risk Manager of Liquidity Risk: LRD Asia’s coverage model is a matrix of Business Unit coverage (including Equities... management areas, including market risk and/or counterparty credit risk, Treasury/Funding, Cash Management Solid understanding...
Regional IT Auditor, Global Risk & Insurance Group Regional IT Audit VP/Manager Group Insurance Business & Corporate... Activities Hybrid Work Mode & Sign- On Bonus Our Client Representing Global Risk Management & Insurance Industry Leader...
and procedures Monitor the credit portfolio risk, liquidity, market, interest rate and operational risk and ensure that risk limits... credit risk portfolio reporting to monitor the internal credit rating of customers, credit concentration risk, etc. Review...
Risk, Credit Risk, and Market & Liquidity Risk, to ensure company compliance and regulations. Responsibilities Conduct... and PC knowledge Fresh graduates with relevant experience are also welcome Additional Skills Risk Control, Credit risk...
of over EUR 550 Billion+ for institutional & private investors to Investment & Operational Risk Snr Asso/Manager. Job Duties... monitoring and reporting of market risk, counterparty credit and liquidity risk positions Expansion Regional Hire with Rewarding...