Job Highlights
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Portfolio review, credit risks, credit control
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Degree in BA, Finance, Risk Mgt., Info. System
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Min. 4 years work exp. in bank – credit control
Responsibilities:
- Monitor, analyze and review portfolio with potential high-risk indicators
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Perform portfolio review to identify potential credit risks, alert to BU with identified risk and recommend preventive measures/ risk mitigation
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Conduct post credit- approval review to ensure they are complied with credit policies and guidelines
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Identify and provide early-alerts on potential problematic credits accounts and recommend appropriate actions plan to mitigate bank’s risk and loss
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Assist BU in resolving problematic accounts including formulation and implementation of loan recovery or exit plan
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Support in managing the credit risk cycle including acquisition, portfolio management, collection strategies & credit system
Requirements:
- Degree holder in Business Administration, Finance, Risk Management, Information System or related disciplines
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Minimum 3-5 years’ relevant working experience from banking and financial industry in credit control of commercial and corporate accounts
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Self-initiated, analytical-minded and able to handle multi-tasks under tight schedule
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Conversant with MS Office applications and Chinese Word Processing
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Good command of written and spoken English and Chinese
Interested candidates please send your cv to suzanne.choi@levin.hk or contact us at 25200104.
40-50K
3-5
Degree
Central
Enquiry: 25200104
To apply for this job, please send your CV to suzanne.choi@levin.hk