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VP, Credit Portfolio Risk (Funds) - Financial Institutions Risk Management (BB-3C838)

Found in: Neuvoo Premium HK

Description:
Job Purpose:
Credit Officer is responsible for primarily managing a portfolio of Funds (non-Hedge Funds). Over time the role could expand to the other NBFI counterparties.The portfolio consists predominantly in Hong Kong and China which FICC manages. Products include OTC, listed derivatives, custody and other capital markets products.

Responsibilities:
  • Credit Officer responsible for all aspects of managing their portfolio.
  • Performing due diligence and analysis of portfolios and Funds counterparties and preparing credit approvals (initial reviews, interim reporting and annual reviews)
  • Manage the portfolio through active counterparty and product stress testing.
  • Analysing trade approval requests across all products.
  • Work closely with Traders / Salespeople, provide credit terms and negotiation of documentation such as ISDA's, Secured Financing Master Repurchase Agreements, etc for counterparties within their remit.
  • Provide guidance to support Business
  • Portfolio management exercises and review of credit limit excesses including actions that need to be taken
  • Responsible for ensuring that the Firm's credit business with counterparties is done in compliance with ICG Risk Policies and Fund Specific Procedures
  • Stay well informed of industry, product and macro economic developments in order to properly position the portfolio.
  • Ad hoc presentations, reviews or training

Knowledge/Experience:
  • Candidate should have a minimum of 5-10 years of FI counterparty credit experience particularly Funds credit.
  • A good knowledge of derivatives / capital market products, ISDA / other trading agreements is needed.
  • Strong capital markets experience
  • Strong analytical skills and ability to decompose transactions into the core risks.Good quantitative skills a plus.
  • Solid Risk and Business judgment on the full spectrum of risk issues including Operational and Franchise Risk

Education:
  • Bachelor's degree/University degree or equivalent experience


Job Family Group:
Risk Management
Job Family:
Credit & Portfolio Risk Management
Time Type:

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