Search Results: 8,399 vacancies
...terparty. Conduct discussions and meetings with the senior management team of the counterparties. Understand the country, industry, market conditions, economic, and political issues relevant to the counterparty's credit profile. Prepare credit commentary on counterparty...
...
Job No.: 499154
Employment Type: Full time
Departments: Risk Management Department
Job Functions: Risk Management
Job ... ... support to the new treasury products
Participate in improving market risk models and monitoring the related model risk
Prepare mark...
Job Description
Job Summary:
As a Country Risk Management associate you will be a part of an independent risk management func... ...rnal country ratings
Actively monitor economic, political and market developments in selected countries
Provide input on the devel...
Job Description - Director, Liquidity Risk & IRRBB (2400001328)
Director, Liquidity Risk & IRRBB - ( 2400001328 )
Job
Job
... ...king patterns
Proactive wellbeing support through Unmind, a market-leading digital wellbeing platform, development courses for resi...
... website at
Job No.: 492348
Employment Type: Full time
Departments: Corporate Credit Management Centre
Job Functions: Risk Management, Compliance
Responsibilities:
~Review and approve the credit proposals of SME & Mid Cap clients within the delegated...
Responsibilities:
Assist in assessing the credit risk of bond issuers, analyze the credit risk condition of relevant issuers ... ...redit standards;
Track changes in macroeconomic conditions, market environment, industry policies, etc., and analyze their impact o...
Responsibilities
• Establishment of market risk management system, and participate in the formulation of market risk related rules and processes;
• Management of market risk limit, able to identify, measure, monitor and report relevant market risks;
• Managemen...
Our client, a Hong Kong listed beverage company with presences globally is urgently seeking a Senior Risk Manager to join their expanding team
Job Description
Responsible for initiating the team direction to cope with the development of Group Risk Management Func...
...promoting a harmonious relationship among its staff members.
Description:
The successful candidate will provide support to Market Risk Management related tasks. S/he will be required to perform day-to-day risk limits monitoring on Bank's portfolios, as well as to...
TOTAL Credit & Risk Management Group ("TOTAL") , a business and trade name of Total Credit Management Services Hong Kong Limited, ... ...ve to be the best they can be.
Investigation, Credit & Risk Analyst (ICRA) - Trainee
Responsibilities
Responsible for editin...
...dit proposals.
~Assess operations on credit / pricing and ensure minimum RAROEC/RORC threshold requirements.
~Monitor the credit risk portfolio by follow-up the clients’ financial evolution and credit exposure at all times. Highlight to credit committee if there is ...
...o you. Join us, and help lay the foundation for a decentralized future.
Tasks
Responsibilities
Day-to-day monitoring of market risks within the exchange.
Identify key metrics for risk monitoring and conduct regular reporting.
Develop models to quantify ri...
...ne of the major institutional investors in the global financial markets and one of the biggest funds by AUM in Hong Kong. We invest in ... ...rience in bottom-up research.
~Sell-side or buy-side Research Analyst experience covering emerging markets preferred.
~Excellent co...
As part of Risk Management and Compliance, you are at the center of keeping JPMorgan Chase strong and resilient. You help the firm ... ...tive network throughout the CIB,Syndicated & Leveraged Finance, Markets and other lines of businessto manage the Bank's credit exposure...
... Asia-Pacific, Crédit Agricole CIB has a local presence in nine markets: Australia, Japan, Korea, Taiwan, Hong Kong, China, Singapore, ... ...o deliver compelling macro and geopolitical analysis
Produce risk assessments and assist macro forecasting, including scenario an...
Responsibilities:
Produce risk reports and conduct timely risk management analysis
Take appropriate risk control measures to pr... ...tion limit, maintenance margin ratio and leverage, etc, based on market development
Requirements:
Bachelor degree holder in Risk M...
~US Private Equity Investment Firm
~Excellent Exposure
Our client is an US Based private markets investor that have pioneered innovative and targeted investment strategies dedicated to uncovering and capturing private markets inefficiencies for over a quarter centu...
Responsibilities:
Perform daily market risk management of FICC and structural products positions, ensure limits are well monitored and properly executed
Identify material risks and propose risk mitigations, escalate price,...
Director / Senior Director, Asia Product Risk Management page is loaded Director / Senior Director, Asia Product Risk Management
... ...ble to build long distance relationships
-Experience of Asian markets is an advantage
On the job you will:
For the designated b...
Senior Principal, Market and Liquidity Risk
Description:
The Treasury department is responsible for the management of BNY Mellon's balance sheet. It assumes a variety of risks in its activities to generate net interest income, largely through the monetization of...