Job Descriptions
Assist to drive the development and implementation of the risk management framework in commensuration with the market positioning, business targets, and the scale and pace of business participation;
Take charge in evaluating credit proposals, conducting due diligence and providing inputs and advice to the investment team and senior management, as an integral part of the deal process;
Undertake responsibilities over the loan portfolio including periodic monitoring and reporting, early actions on credit deterioration, and stress tests;
Organise and assist in investment committee meetings and processes; and
Conduct ad hoc research or studies relevant to the development of the business portfolio from a risk governance perspective.
Requirements:
Degree holder, preferably in Risk Management or Finance-related disciplines;
At least 8 years' experience in renowned institutional banks, institutional investors or advisory firms in one or more of the following disciplines: project advisory or financing; corporate lending or restructuring; risk management; or related discipline in infrastructure financing or investment;
Experience in credit assessment is a must;
Experience and knowledge in securitisation and risk governance would be an advantage;
Strong analytical and excellent stakeholder engagement skills. Ability in handling complex transaction structure and documentation is preferred;
Excellent communication and presentation capabilities; and
High proficiency in English and Chinese. Fluency in Putonghua or other languages is an advantage.
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