Risk Manager (Korean base FI)

Our client is an investment arm of a sizable Korean base bank in Hong Kong. She is now inviting calibre candidates tto join her team with the requirements below:

Responsibilities:

  • Establish risk management procedures and standards for the company
  • Establish management and administrative procedures to ensure adherence to policies
  • Develop and recommend appropriate risk standards related to various products / counterparty credit analysis related to credit / lending products
  • Assess and approve risk limits, monitor risk exposure for routine and complex transactions, and implement collateral requirements
  • Analyze and evaluate the current and potential risk exposure for both individual and groups of counterparties
  • Develop and maintain financial background information, specific counterparty or client credit analysis process
  • Recommends and implements risk management enhancement provisions
  • Develop and evaluate risk management models
  • Provide advice to the business areas on the risk profile and recommend actions to reduce risk exposure
  • Responsible for Contingency plan (BCP) and Recovery Plan
  • Internal policies management
  • Credit application review and Documentation review

Requirements

  • Good command of English
  • Over 5 years of relevant working experience in Financial Institutions
  • Team player and able to work independently

*** Pls send CV to canwie.chan@levin.hk or contact us at 2520 0064 for more infor.

Negotiable

5 years

Degree holder or above

Cnetral Hong Kong


Enquiry: 2520 0064

To apply for this job, please send your CV to canwie.chan@levin.hk


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