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Reporting to the Head of Traded Credit Risk Management for Greater China, the successful incumbent will be required to manage all credit risk arising out of trading and dealing in derivatives and funding transactions of different asset classes; these will include Commodities, Rates & FX, Equity and Credit. You will review product term-sheets and ensure risk are appropriately addressed and that the products are appropriate for the clients. Furthermore, you will carry out monitoring activities to ensure that key control guidelines, risk parameters, credit policies and processes are being followed. As part of this role, you will perform credit risk assessment for new products and review and approve structured Financial Markets transactions.
To be considered for this role, you will be a degree holder and will have over 10 years of credit risk experience with a particular focus on China based clients. Due to the nature of the role, you must have extensive exposure to Financial Market products which must include OTC derivatives/exchange derivatives. The successful candidate must be fluent in Mandarin and English and be extremely strong interpersonally in order to deal with stakeholders.
For further information, please contact Dominic Thurmott at Barclay Simpson on +852 2851 9961 or send your CV to firstname.lastname@example.org