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- ...mployment Type: Full time Departments: Risk Management Department Job Functions: R... ... Responsibility Develop and maintain credit risk internal credit rating, IFRS9 expect... ...redit loss, credit portfolio and Fin-tech models Perform model related data analyses an...
- ...owing position. Responsibilities: Design and carry out credit risk stress-testing programs for SDST, CRST, ICCAP, RST and Scenari... ...ew Review, enhance and implement credit risk stress-testing models Prepare system user requirements and perform relevant user ...
- ... further your personal growth. Come join us for the following position. Responsibilities: Perform credit monitoring and review in commercial credit and risk management, ensure compliance with internal policies and relevant regulatory requirements Manage portf...
- .... Responsibilities Support to manage the risk costs (NPL, impairment loss) of retail lending p... ...ng collection strategies with the use of various credit decision tools such as credit scorecards, segmentation models, effective MIS reports, etc. for improving the p...
- ...ortunity. Responsibilities: Prepare analysis, stress testing and model validation on wholesale credit portfolio and banking products, such as Supervisory-driven Stress Test, Climate Risk Stress Test, quantitative analysis, internal credit rating analysis and I...
- This role focuses on investment-grade credits across Asia and the US, providing critical support to portfolio managers through rigorou... ...ack market trends and economic indicators to identify potential risks and opportunities, maintaining strong sensitivity to US rates a...
- ...rivate Bank, the ED, Advisory & Dealing, Credit role focuses on advancing the fixed inco... ...tment solutions tailored to their unique risk appetites, return objectives, and liquid... ...ficient in Microsoft Excel for financial modelling, scenario analysis,and reporting purpose...
- Responsibilities Devise the risk management framework, policies and controls such... ...isk limits monitoring, including market, credit, IM VM, liquidity, operational risks, va... ...he OTC desk Responsible for financial modelling, developing risk reporting tools & analy...
- ...Awareness and understanding of the Group’s business strategy and model appropriate to the role Execute long term strategic plans and... ... Learn and equip to become a fixed income product specialist Risk Management Identify, monitor, manage and control business, op...
- ... are looking for an experienced Valuation Risk Controller to join their team. This... ...dependent Price Verification (IPV) across credit trading products including bonds and loan... ...solve issues Review valuation and risk models in close collaboration with model develop...