are an advantage. Minimum 5 years of experience in credit risk modelling, with at least 3 years in a supervisory role... incumbent will support the Bank in the development, implementation, monitoring, validation, maintenance and use of credit models...
5 years of experience in credit risk modelling, with at least 3 years in a supervisory role. Strong analytical... in the development, implementation, monitoring, validation, maintenance and use of credit models for retail banking...
5 years of experience in credit risk modelling, with at least 3 years in a supervisory role. Strong analytical... in the development, implementation, monitoring, validation, maintenance and use of credit models for retail banking...
disciplines. CFA/FRM/ECF qualifications are an advantage. Minimum 5 years of experience in credit risk modelling, with at least 3..., maintenance and use of credit models for retail banking, corporate banking and treasury credit portfolios, as well as related...
Overview Senior Manager – Risk Management (OTC derivatives) Posting Date: 2026-01-19 Responsibilities Devise... for financial modelling, developing risk reporting tools & analysis and independent price validation Prepare daily risk reporting...
and manuals Conduct daily risk limits monitoring, including market, credit, IM VM, liquidity, operational risks, valuation... specific to the OTC desk Responsible for financial modelling, developing risk reporting tools & analysis and independent...
credit developments, under the supervision of senior stakeholders. Perform credit risk assessment and analysis, including... financial spreading, internal ratings, loan classification, modelling, and default triggers. Liaise with Credit Risk Managers...
credit developments, under the supervision of senior stakeholders. Perform credit risk assessment and analysis, including... financial spreading, internal ratings, loan classification, modelling, and default triggers. Liaise with Credit Risk Managers...
credit developments, under the supervision of senior stakeholders. Perform credit risk assessment and analysis, including... financial spreading, internal ratings, loan classification, modelling, and default triggers. Liaise with Credit Risk Managers...
of senior stakeholders. Perform credit risk assessment and analysis, including financial spreading, internal ratings, loan... classification, modelling, and default triggers. Liaise with Credit Risk Managers and Credit Committees to address credit enquiries...
, covenant breaches, and negative credit developments, under the supervision of senior stakeholders. Perform credit risk...Our client is one of the well-known global corporate bank in Hong Kong, they are currently looking for a Credit Manager...
credit developments, under the supervision of senior stakeholders. Perform credit risk assessment and analysis, including... financial spreading, internal ratings, loan classification, modelling, and default triggers. Liaise with Credit Risk Managers...
of senior stakeholders. Perform credit risk assessment and analysis, including financial spreading, internal ratings, loan... classification, modelling, and default triggers. Liaise with Credit Risk Managers and Credit Committees to address credit enquiries...
& Investment Risk Manager, you will be responsible for managing market risk for a team of institutional asset managers... for funds and mandates Contribute to the improvement of the modelling of market risk in the risk-management tool Participate...
and risk reports to senior stakeholders. Collaborate with internal teams to ensure compliance with credit policies and risk... Conduct in-depth credit risk assessments and financial analysis of corporate clients. Prepare and present credit proposals...
. Prepare and present credit proposals and risk reports to senior stakeholders. Collaborate with internal teams to ensure... of financial services. Your new role Conduct in-depth credit risk assessments and financial analysis of corporate clients...
stakeholders. support senior risk managers to cover complex clients (Hedge Funds, Asset Managers, and Financial Institutions... and Credit Officers to deliver optimal risk reward outcomes. participate in regional and global risk projects to enhance...
and analysis to management, regulators, and internal stakeholders. support senior risk managers to cover complex clients (Hedge... Relationship Management, Account Managers, Collateral Managers and Credit Officers to deliver optimal risk reward outcomes...
WeLab Bank - Senior Manager, Data Scientist WeLab, a leading pan-Asian fintech platform, operates two digital banks... access credit, save money, and enjoy their financial journey. WeLab, a leading pan-Asian fintech platform, operates two...
Jobs Job Details Senior Relationship Manager, Medium Enterprises Job Description Requisition Number: 38655 Job Location: Kwun Tong, HKG... Managers, Credit Analysts, Team Managers, Segment Heads, colleagues in Client Due Diligence, and partners in Risk, Compliance...