Key Responsibilities:
- Familiar with structured finance and cross border business
- Prepare the risk assessment report including valuation modelling; and independent risk report
- Perform credit portfolio analysis, prepare periodic and ad-hoc risk reports
- Monitor the borrower's credit risk portfolio and collateral risk regularly
Qualification:
- Bachelor's degree or above, major in Risk management, Accounting, Finance, Business or other related disciplines
- Willing to travel
- At least 3 years' relevant work experience
- Progress towards/completion of CFA, FRM or CPA is an advantage