Risk Management Group (RMG) is responsible for the development and ma... ...d/or making recommendation on portfolio actions for Wealth Management... ...sis for maintaining/improving asset quality
Support UAT in var... ...ience in Wealth Management or credit risk management
Proven wor...
... Full time
Departments: Risk Management Department
Job Functions: Ris... ...monitoring changes in the overall portfolio of the group's non-performing assets, understanding and analyzing the ... ...e about corporate lending, retail credit, and relevant banking products an...
...lence. Our people are our most important asset and play a vital role in our efforts to ... ...erating Officer’s Office is dedicated to manage non-financial risk, drive digital and tr... ...al to join us as Senior Manager, Change Portfolio Management .
The principal accountab...
...uties & Responsibilities:
Responsible for credit and portfolio monitoring for the corporate banking / real estate portfoli... ... timely reporting of any credit related matters required by management
Support the team on compliance, regulatory and other i...
...lence. Our people are our most important asset and play a vital role in our efforts to ... ...ceivables finance, structured loan, cash management, investment, treasury services, insuranc... ... professional to join our department as Portfolio Manager .
Principal responsibilit...
...ecification and the build.
Key Requirements
Min 8 - 10 years' hands-on experience in investment management and focus on portfolio risk
Exposure to multi-asset class strategies with detailed understanding of multi-factor models, methodologies associated with Va...
...on and specializing in wealth management.
Handle the debt collectio... ...tion risk and the mix of loan portfolio
Assist in debt recovery pr... ...s preferred
Acute sense of credit risk, and sound knowledge in ... ...xperience will be considered as Deputy Manager, Asset Recovery
Responsibilities
Responsible for managing portfolio, monitoring the implementation of investment strategies and conducting periodical r... ...g top-down analysis reports of portfolio industry as well as asset allocation regularly;
Handle ad-hoc enquiries and underta...
...t home.
Job Purpose:
~Minimize the credit loss and maximize the recovery of non-performing loans of corporate banking portfolio.
~Prepare various reports related to CB... ...mend appropriate loan grading and prepare management reports;
~Prepare monthly reports for H...
A leading investment bank is hiring a portfolio manager in Hong Kong, candidates with KIP qualifi... ...e or/and trading experience at buy-side asset management team and formulate investmen... ...ket risks include FX, interest rate and credit risk exposure;
• Responsible for P&L ...
...people are our most important asset and play a vital role in our ... ...g professional to join us as Manager, Consumer Assets Marketing .... ...nd support business growth on Credit Card and/or Personal Loan pro... ...Personal Loan acquisition and portfolio growth
Collaborate with re...
...to-end review against the NPL portfolio on a periodic basis
Collat... ... analyze data relative to NPL management and compile various risk anal... ...of changes in the Bank’s loan asset quality
Assist in formulat... ...holder
At least 4 years of credit risk management / corporate d...
...nhance how our stakeholders perceive and experience Citi. We manage our reputation by engaging with our stakeholders and deliver... ...gh caliber professional to join our team as Vice President, Portfolio and Asset Manager (Facilities Management) - Hybrid (Internal Job Titl...
...rt of our team and to pursue a bright and exciting future.
Responsibilities:
This is a role under the Credit Risk Management Department (Special Assets & Monitoring Section)
The incumbent will review the credit control reports submitted by Risk Owners and per...
HKD 50k - HKD 80k /月
Our client is a well known developer in Hong Kong
An Asset Manager position responsible to manage a portfolio of properties, including Industrial and Residential assets.
Client Details
Our client is a well known developer in Hong Kong
Description
Develop an...
...l time
Departments: Risk Management Department
Job Functions:... ... complex non-performing loan portfolios;
~Manage and lead the case... ...s and procedures relevant to credit risk management;
~Draft va... ... lending business or special assets management, or over 8 years’...
...
We believe that employees are valuable asset of the company. We offer stimulating car... ...rmulate, review and update the bank-wide credit policies, procedure and guidelines in li... ...ancement measures related to credit risk management
Review gap analysis in relation to th...
... high quality construction and property management as well as community commitment. Our re... ... mainland China, the Company also has a portfolio of outstanding commercial and residenti... ...t experience in real estate / banking / credit loan or relevant industry with at least...
...mpany Limited is a family owned real estate business , with a portfolio of both commercial and residential properties.
We are looki... ...nt projects. This role shall oversee all leasing and property management matters and direct report to the Directors / Assistant Direct...
...ndently in monitoring and handling the problem loan portfolio
Liaise with solicitors, valuers and agents regar... ...repare loan restructuring proposal and evaluate the credit risk of problem accounts
Prepare management reports and in charge of non-performing loan MIS
...
Assistant Credit Manager, Personal Banking
Responsibilities:
Conduct credit risk analysis and give recommendations on personal ... ...support of the business
Conduct regular and ad hoc credit portfolio risk review and reporting
Assist Section Head in developi...
The Credit Portfolio Senior Analyst is an intermediate-level position responsible for conducti... ...igration in coordination with the Risk Management team. The overall objective of this ro... ...afeguarding Citigroup, its clients and assets, by driving compliance with applicable...
Department: Asset Management
Location: Hong Kong
Responsibilities
Conduct market research and analyze the markets’ latest product offerings;
Select outstanding asset management products and manage launching procedures to ensure clients are equipped with th...
Responsibilities:
Assess the customers’ credit risk, prepare credit approval, and formulate risk mitigation plan.
Perform debt collection and cash management; ensure problematic customers can be quickly identified and addressed
Prepare cash flow forecast, var...
...ly support on operations to the Credit team, including but not limited... ...orts with regard to the lending portfolio and Credit policy;;
~Communica... ..., Collection Department etc);
~Manage and monitor the insecure Loan portfolio to ensure asset quality;
~Assist in review cr...
... maintenance of existing stores in the area assigned by the senior asset manager to ensure the healthy continuity of the stores in their area operations and enhance the value of your investment portfolio. Incumbents are expected to act in accordance with Starbucks Guidi...
The Credit Portfolio Intermediate Analyst is an intermediate-level position responsible for co... ...igration in coordination with the Risk Management team. The overall objective of this ro... ...afeguarding Citigroup, its clients and assets, by driving compliance with applicable...
...e.
Job Purpose:
To review, analyze and support / approve credit application; approve credit excesses and irregularities; take u... ...lem loan situation and, if necessary, working with relationship manager to take early remedial actions including loan/credit restructur...
...nance and has been named Best Managed Bank in Singapore by The Asia... ...es group in Southeast Asia by assets. The Group offers a broad arr... ...re RMs and Branches adhere to credit policies, HKMA’s guidelines, ... ...ction and analysis for ad-hoc portfolio reviews;
~Prepare credit pr...
...ute to its success with a rewarding career in return, join us today.
Job Purpose:
~Support the management of the credit risk cycle, including acquisition, portfolio management, collection strategies, credit systems and MIS, for all unsecured and secured products o...