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Explore the changes and trends of the risk drivers for the Group and Subsidiaries' banks according to the changes in macro environment and the credit portfolio constituents, identify key risks for ongoing monitoring and provide enhancement recommendations.
Execute credit portfolio planning, including the portfolio limit setting and the asset quality budgeting, ongoing monitoring and analyzing the causes of variation
Set the Group/ Bank credit risk stress scenarios and provide high quality analysis
Engage in the implementation and ongoing refinement of the IFRS 9 impairment methodology
Review the methodology and tools for credit risk stress test and credit concentration risk assessment
Provide assistance to subsidiaries in the implementation of credit risk stress testing and credit portfolio analysis.
Degree holder or above with major in Economics, Risk Management, Statistics, Mathematics or related discipline.
CPA or FRM or related qualification is preferred
At least 3-5 years experience in credit risk management, portfolio analysis, model development, accounting or finance
Sound knowledge of credit risk theories, modeling techniques, Basel requirements and IFRS 9
Good analytical skills and proficient in using SAS, Microsoft Excel (VBA) and Access (SQL)
Strong interpersonal and communication skills
Good command in written and spoken English and Chinese
Candidates with more experience will be considered as Senior Credit Risk Manager