Job Description
Our client is a one of the prestigious financial group in Hong Kong and they are now seeking for a highly professional individual as below for their credit department. Candidates from financial industry are highly welcome to apply.
Job Description
• Conduct periodic credit assessment and review including financial statement analysis
• Perform on-going monitoring and review on listed companies and recommend margin grading to stocks
• Monitor market risk and concentration risk of the collateral
• Assist in formulating credit policies and procedures for all products
• Assist in formulating credit rules and performing User Acceptance testing in system re-engineering project
Requirements
• Degree holder in Risk Management, Finance, Accounting or related discipline
• Minimum 5 years’ experience in financial services industry. Experience in handling risk and business for multi-product environment an advantage
• Strong understanding of all investment products including equities, exotics OTC derivative, FX, commodities, bullion and mutual fund
• Strong presentation and interpersonal skills
• Proficiency in MS Office applications
• Good command of both written and spoken English and Chinese. Fluency in Putonghua an advantage