通过电子邮件获得新工作
- ...oyment Type: Full time Departments: Personal Banking Risk And Integrated Management Department Job Functions : Risk Management, Policy ... ...tion Responsibilities: Develop and prepare retail credit portfolio management reports. Conduct credit analysis to ident...
- ...oyment Type: Full time Departments: Personal Banking Risk And Integrated Management Department Job Functions : Risk Management, Policy ... ...ration Responsibilities: Develop and prepare retail credit portfolio management reports. Conduct credit analysis to ident...
- Job Purpose: To prepare Credit Management reports to the Management and HKMA survey reports To review and maintain credit portfolio data to facilitate reporting and analysis purpose... ...ion, Computing and Information System, Risk Management or related disciplines ~3...
- ... first class listed universal banking group focusing on international expansion and specializing in wealth management. Assess the credit risk of loan portfolio and organize credit review on certain type of customers or industries Prepare reports to senior managem...
- ...ltinational and local companies in Greater China region. Credit Risk Manager Dynamic working enviornment / Innovative management teamJob... ... Perform credit analysis & review for new & existing loan portfolios Perform site visits with Business Development Managers &...
- ...ull time Departments: Corporate Credit Management Centre Job Functions: Risk Management Responsibilities: ... ...d analyze corporate credit related MIS data Gather and identify negati... ...t quality of the corporate lending portfolio Monitor corporate borrowers of ...
- ...titive compensation packages. WPB Credit and Financial Crime Risk Control - Credit Control Services ... ...fessional to join our department as Manager, Collections . Principal respons... ...ng products Good understanding of portfolio management technique including analy...
- ...evelop, monitor, and regularly report risk indicators and limits to ensure align... ...defined thresholds. Oversee client portfolio margin exposure levels. Track dail... ...s and investment strategies/funds. Manage margin and credit limit applications, including prepari...
- ...e Departments : Personal Banking Risk And Integrated Management Department Job Functions : Risk ... ...esponsible for executing all-rounded credit policy duties of various lending products. Manage and monitor lending portfolio to manage asset quality. Provide ...
- ...esponsibilities Formulate, review and update the bank-wide credit policies, procedure and guidelines in line with statutory and... ... of rectifications and enhancement measures related to credit risk management Review gap analysis in relation to the latest regulatory r...
- Responsibilities Manage Credit RWA analytics, system calculation, regulatory reporting including Pillar 3 disclosure, under Basel III final reform. Responsible for data analytics, risk management reporting and ad-hoc enquiries from regulators. Participate in s...
- ...titive compensation packages. WPB Credit and Financial Crime Risk Control - Credit Control Services ... ...fessional to join our department as Manager, Collections . Principal respons... ...ng products Good understanding of portfolio management technique including analy...
- ...ent Type : Full time Departments : Risk Management Department Job Functions : Risk Man... ...ement Responsibilities: Formulate credit risk management policies for retail exp... ... in related projects; Monitor credit portfolio; prepare management reports; Perform...
- ...including 27 “Elite Club” Wealth Management Centres) in Hong Kong. It is eng... ...-time transaction monitoring and risk assessments (fraud detection, merchant credit scoring). Perform due diligen... ...ns for new merchants and oversee portfolio risk management. Lead the imp...
- ...gic plan of marketing campaigns to grow credit card business and enhance brand buildin... ... card usage to drive new card sales and portfolio growth Develop card portfolio action... ...gree holder in Business Administration, Management, Economic or related disciplines At ...
- Responsibilities Participate actively in the development and validation of credit risk related models Collaborate closely with the risk team in managing the models implementation, quality control and ongoing performance monitoring Prepare management reports an...
- ...me Departments: Personal Banking Risk And Integrated Management Department Job Functions : Risk ... ... Manage and monitor the problem loan portfolio to ensure asset quality. To prepa... ... regard to the lending portfolio and credit compliance. Execute all-rounded c...
- ...loyment Type: Full time Departments: Risk Management Department Job Functions: Risk Mana... ...bilities: Perform risk assessment on credit proposals submitted by front line, exer... ...ng and management on clients as well as portfolio levels Ensure all internal credit po...
- ...nd line of defence responsibilities related to Credit Risk, which involves oversight and challenge of risk management actions from the First Line, including the fol... ...tees. Ensure that the quality of the credit portfolio is maintained within acceptable parameters as ...
- ...: 499632 Employment Type: Full time Departments: Institutional Business Department Job Functions: Risk Management Responsibilities : Prepare credit application and internal rating mainly covering financial institutions, especially banks. Prepare analy...
- ...city, Bank of Communications (Hong Kong) has set up 37 wealth management service centres in its outlets that offer BComBEST customers ... .... Conduct post-approval monitoring to identify potential credit risk and provide professional advice on risk mitigation. Assist...
- Duties: Conduct post-approval monitoring to identify potential credit risk and provide professional advice on risk mitigation Assist in formulating and reviewing credit risk management policy and mechanism of the bank with reference to the group and regulatory re...
- ...oyment Type: Full time Departments: Personal Banking Risk And Integrated Management Department Job Functions: Project Management, Risk Man... ... practical application of Large Language Models (LLMs) in credit life cycle. Develop, validate, and monitor credit risk...
- ...upport the team in performing credit assessment in accordance with... ... Assist to identify credit risk inherent in credit proposals ... ...control and review on clients portfolio Keep abreast of the prevai... ...y requirements of credit risk management Requirements ~ Universit...
- ...ry out duties with high integrity. Adhere to all established risk control guidelines, procedures and measures and to mitigate the... ...ss Good communication, interpersonal, analytical and project management skills Proactive, creative, customer focused, positive team ...
- Responsibilities Design and carry out credit risk stress-testing programs for SDST, CRST, ICCAP, RST and Scenario Review Review,... ... Requirements ~ University graduate, major in Finance, Risk Management or related disciplines ~3 years of relevant experience, as ...
- Vice President, Credit Approval, Corporate Banking, Risk Management Group Business Function Risk Management Group (RMG) is responsible for the de... ...nd monitor the Bank’s credit risk at individual and portfolio level against irregularities identified/deteriorati...
- ...viting high calibre candidates to join us and develop successful careers with us. Responsibilities: As a Credit Risk Expert in the Credit Risk Management Division, to conduct credit review and provide approval recommendations on various large and complex credit ap...
- ...usiness Centre and 15 function rooms. We are looking for a Credit Manager based at Kowloon Shangri-La, Hong Kong! As a Credit Manager... ...on collection of all accounts in timely paid and minimize the risks in collection of accounts from guests Responsible to see t...
HKD 100k /月
As a Senior FOF Portfolio Manager in the business services industry, you will oversee fund-of-funds portfolio management, ensuring optimal p... ... provide tailored portfolio recommendations based on clients' risk tolerance, return preferences, and asset allocation needs. ...