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About Standard Chartered We are a leading international bank focused on helping people and companies prosper across Asia, Africa and the Middle East.
To us, good performance is about much more than turning a profit. It's about showing how you embody our valued behaviours - do the right thing, better together and never settle - as well as our brand promise, Here for good.
We're committed to promoting equality in the workplace and creating an inclusive and flexible culture - one where everyone can realise their full potential and make a positive contribution to our organisation. This in turn helps us to provide better support to our broad client base.
The Role Responsibilities
Accurately assigning risk ratings to all fixed income instruments that are advised on or transferred in.
Entering each new fixed instrument into the appropriate (Finantix or similar) database; maintaining the integrity of that database
Uploading into FI Connect, on a daily basis, just-issued bonds; maintaining the overall integrity of the FI Connect database.
Maintaining all aspects of the Note Issuer database
Contributing towards the maintenance of the bond database in T-24 - ensuring the back-office receives updated pricing on illiquid securities, ensuring there are no entries in T-24 with temporary risk ratings, ensuring product risk ratings in T-24 are consistent with those in Finantix (or a similar database)
When required, helping the trading desk with the communication of new issue ideas
When required, working with Credit Risk in obtaining appropriate LTVs on fixed income instruments
Performing Annual Product Risk Rating (PRR) review of all Fixed income securities set up in the Finantix database and communicating the changes to the PRRs to all countries and segments
Monitoring for any Issuer downgrade on a weekly basis. If an Issuer downgrade occurs, seeking internal approval from Group Compliance and Global Head of Investment Strategy & Advisory (or his delegate) before sending out internal notices to all countries and segments
Ensuring that a new counterparty has been approved by Financial Markets (FM) before updating the Approved Counterparties list
Portfolio Exposure Review / Investigation
Participating, as required, in the investigation / review of negative risk exposure (internal and external)
Design and Setup
Assisting in identifying risks in products and processes. Ensuring that to the extent possible, risks are anticipated and clearly signaled to appropriate stakeholders.
Engaging the Segments
As a key member of the Credit Products team, the incumbent will be expected to participate in meetings with segments and make presentations where required. Presentations may be product (marketing / ideation) oriented, process or training related.
Coordinating training efforts to promote a better understanding of products - and the asset class as a whole.
Our Ideal Candidate
10 - 15 years of experience in risk-return evaluation of credit products, across cash and derivative instruments.
Ability to evaluate and price consistently
Ability to productively engage with diverse stake-holders within Business, Risk, Legal & Compliance, Counterparties while progressing the product-mandate
Ability to make proposals and presentations
Apply now to join the Bank for those with big career ambitions.
Internal Number: 6258401
About Standard Chartered Bank
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