Search Results: 4,034 职位空缺
...ve business analytical reports to upper management
Liaise with debtors and/or professional... ...st in monitoring changes in the overall portfolio of the group's non-performing assets, u... ...dgeable about corporate lending, retail credit, and relevant banking products and lega...
...eeking high caliber professionals to join our department as Manager, Portfolio Management (Unsecured Loans) .
Principal responsibilities... ...est of customers to improve customer satisfaction.
Manage risks and control to ensure marketing campaigns, product designs a...
...pportunities and drive key initiatives that align with Nourish portfolios, competencies and capabilities.
Work with cross functions t... ...d stimulates others to change paves the way for needed changes manages implementation effectively
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Responsibilities
Team introduction: Responsible for the risk control strategy of international credit business, including BNPL, cashloan, seller finance, etc. Conduct comprehensive management of risks before, during, and after the loan process during the business d...
...Wholesale Chief Operating Officer's Office is dedicated to manage non-financial risk, drive digital and transformation strategic execution, ana... ...h caliber individual to join us as Senior Manager, Change Portfolio Management (PMO) .
Principal responsibilities:
The p...
...onal to join our department as Head of Portfolio Management and Payment .
Principal responsibil... ... payment volume, product profitability, risk adjusted returns and market share
Dr... ...r lifecycle
Collaborate with Risk on credit risk and opportunities management such ...
Roles & Responsibilities
1. Based on Massive data, build a risk control model system covering the entire life cycle of financial credit scenarios, deeply participate in the planning and development of risk control models, and provide reliable financial technology ser...
...d Execution :
o Perform due diligence on private credit funds
o Perform detailed financial analysis and... ...sions and identify emerging trends that could impact the portfolio.
Portfolio Management : Monitor the performance of existing investments, incl...
...ies
1. Oriented to C Or the B-end customer group, responsible for credit loan operations or supply chain financial product operations, extra points for experience in telemarketing operation management 2. Comprehensive design of financing operation growth plans for the...
...cy services to relevant parties
Handle clients' requests and inquiries regarding loan documentation or operations. Negotiate the credit terms with clients
Requirements:
Degree or above majoring in Finance, Accounting, Economics or Business Administration
At ...
JOB SUMMARY
The Manager - Brand Portfolio Activation and Standards ( for Select Service Brands ) has three primary responsibilities
1.Co-develop strategic planning, activation, execution and communications for multi-Brands projects, initiatives and programming.
...
... a service upgrade public opinion team, optimize public opinion/risk upgrade standards and processes, formulate risk service design ... ...ove, more than 5 years of experience in risk escalation service management 2. Passionate and curious about service, and Have a deep unders...
...Roles & Responsibilities
1. Responsible for credit business Design and build the capital's pre-loan and mid-loan risk strategy system, iteratively optimize risk co... ...to promote the capital side Build credit risk management capabilities, formulate and optimize risk man...
...uantitative support to the new treasury products
Participate in improving market risk models and monitoring the related model risk
Prepare market risk reports for senior management
Requirements:
Degree holder (Major in Risk Management, Quantitative Finance, ...
Responsibilities:
Conduct risk monitoring, control and compliance risk... ...ne workflow and conduct data asset management.
Prepare MIS reports on portfolio exposure regularly.
Perform str... ...erformance measurement.
Perform credit administration duties.
Conduct ...
...he adult population in Hong Kong.
We are currently seeking a high caliber candidate to join our department as Business Risk and Control Manager .
Principal responsibilities:
Identify potential risk areas, lead and provide timely advice and support to digital ...
...seeking high caliber professionals to join our department as Manager, Risk and Compliance (Card Business) .
Principal responsibilitie... ... and identify their impacts and necessary controls related to Credit Cards and Acquiring Business
Requirements:
University d...
...o mass segments across channels. We distribute investment funds managed by top tier fund managers covering different types of funds, ac... ...stors.
We are seeking a high caliber to join us as Business Risk and Control Manager .
Principal responsibilities:
Partic...
Responsibilities:
Conduct fraud risk assessment on new products and services
Performinvestigation of fraud cases
Review an... ... data analysis and prepare intelligence reports / circulars for management's review
Prepare anti-fraud training materials and participa...
...seeking a contribution minded Risk Analyst to joinxa0 ourxa0 glo... ...s risk philosophy, completing credit analyses and reviews for the ... ...new and existing customers
Managing and maintaining credit risk e... ...al teams with transparency to portfolio performance and risks to help...