Vice President, Credit Risk Monitoring, Country Risk & Collateral Management
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Vice President, Credit Risk Monitoring, Country Risk & Collateral Management
About the Role
Greater Hong Kong, Hong Kong Area
The Company is seeking a Vice President for Credit Risk Monitoring, Country Risk, and Collateral Management. The successful candidate will be responsible for the development, implementation, and maintenance of the country's risk and collateral management framework, ensuring compliance with relevant regulations and group policies. This role involves continuous enhancement of the area, conducting analysis to identify trends and vulnerabilities, and driving risk initiatives to monitor exposure and identify potential risks in portfolios. The VP will also be involved in proposing system enhancement changes, conducting user acceptance tests, and collaborating with various business units and stakeholders to provide guidance and risk management advice. Applicants must be degree holders in finance, accounting, statistics, risk management, or a related discipline, with a minimum of 8 years' experience in credit risk management and credit portfolio monitoring, preferably within a banking environment. Experience in IT projects and credit-related system implementation is essential, and proficiency in SAS, Python, VBA, and MS Office is a plus. The role requires a self-motivated, detail-minded individual who is well-organized and able to work independently. Good communication, interpersonal skills, and a strong command of written and spoken English and Chinese (including Putonghua) are also necessary for this position.
Functions:
- Finance
- Data Management/Analytics
About the Company
Established banking institution with a century of experience in financial services.
Industry
Banking
Type
Privately Held
Age
employees
1001-5000
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