Assistant Manager / Manager, Credit Risk Management, Risk
- Hong Kong
- Full-time
- POSTED 1 MONTH AGO
About the job
Key Areas of Responsibilities Review counterparty risk and keep counterparty risk is under the control Review and assess credit exposures deriving from OTC transactions Assist in review and negotiation of credit terms within Master agreements (i.e. ISDA, GMRA, GMSLA) Review and assign appropriate internal credit rating F amiliar with Prime Brokerage business, especially on the model of rule base margining, Portfolio Stress, Model calibration and v alidation for linear and nonlinear products Review DVP/FOP risk and ensure D VP/FOP risk under well control Review and assess credit exposures deriving from I nstitution Equity business Familiar with I nstitution Equity business and p erform regular monitoring for early risk identification Prepare credit files and write ups, review credit limit applications and make appropriate recommendations to senior management for higher approval delegation Prepare daily credit reports and monitor credit exposures. Resolve issues when exceptions occur and properly escalate to senior team members as necessary Monitor for adverse news which could potentially deteriorate counterparty / issuer credit quality Produce Risk Committee and Management reports Review and update procedures Support ad-hoc requests from business and other internal clients
Requirements 5- 10 years of relevant risk management experience in Brokerage / Financial institution
Master’s degree holder in Finance, Business or related discipline
Possess good knowledge of financial products (i.e. Equities, Futures & Options, OTC derivatives)
Sound understanding of credit risk management, able to identify relevant exposures from different products
Experienced with credit review and write-ups
A good team player, quick learner, self-motivated with strong sense of responsibility and discipline;
Proficient in Excel / Macro /SQL
Good command of written and spoken English, Chinese (Mandarin and Cantonese)
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