| Employer: | Bank of China | Job Ref No: |
F09RM-SRCRERISKMGRMIS
| Job Title: |
Senior Credit Risk Manager (Credit Portfolio & MIS)
| Sector: |
Asset Management
| Sub Sector: |
Unspecified
| Risk Type: |
Credit
| Expertise: |
Other
|
- Define business requirements for credit portfolio management
- Formulate strategies, processes and standards for management of credit portfolio
- Implement management information for credit portfolios to manage lending business and credit risk
- Perform strategic analysis on credit portfolios and deliver solutions to facilitate the business planning and development of credit portfolios
Requirements:
- Degree or above with major in Economics, Business Administration, Statistics or related discipline
- At least 5 years Banking experience in Credit Risk Management
- Working experience in Credit Portfolio Management with good knowledge of credit products, business practices and credit risk portfolio management techniques
- Good understanding of Pillar II and ICAAP under Basel II and advanced credit risk theories
- Proficient in data analysis using statistical tools such as SAS, Excel and Access
- Good analytical and report writing skills
- Strong interpersonal and communication skills
- Good command in spoken and written English and Chinese
| Region/Country: |
Asia / Pacific, China
| City: |
Hong Kong
| Address: | | Post Date: | 05/18/2012 |