Credit Officer Risk Management Institutional ClientsID:58788

6,000 MYR ~ 12,000 MYR孟沙 Bangsar约10小时 ago

概述

  • 薪资

    6,000 MYR ~ 12,000 MYR

  • 产业类别

    Finance(Banking)

  • 工作内容

    【Job Overview】
    • Shape: We give shape to the bank, for example by influencing the selection of products from a risk point of view. We actively manage portfolios and streamline our processes.
    • Serve: We are service providers. Our willingness to provide services is determined by the quality of our work, the associated costs and the speed with which we carry out our tasks.
    • Secure: We want to protect the bank's equity and secure assets.

    【Job Responsibilities】
    • Responsible for a credit portfolio of predominantly German corporates ranging from mid-sized to multi-national companies from all sectors of the economy.
    • Responsible for a credit portfolio of either international banks and the public sector or international non-bank financial institutions with varying levels of risk, difficulty and/or complexity. The focus is:

    a) on financial institutions/banks and the public sector, or
    b) on non-bank financial institutions (NBFI) including insurance companies, brokers/dealers, stock exchanges, clearing houses and investment companies or regulated funds (pension funds), hedge funds, leasing companies, factoring companies and private equity managers.

    • Independent analysis of individual financial and economic conditions of borrowers (annual financial statements, interim figures, business model, market and competition, forward-looking analysis, preparation of forecasts, sensitivity analysis, analysis of debt service capacity)
    • Spreading / validation of spreading of the annual financial statements via internal tools; approving the spreading before using it in the rating process
    • Qualitative and quantitative risk analysis of a counterparty within the rating process
    • Rating finalization by setting PD rating.
    • If appropriate credit decision and approval within the framework of required process.
    • Preparation of different sector analysis, e.g. assessment of banking system of a country regarding stability, risks, quality of supervision.

资格

  • 应征条件

    【Must】
    • Possess at least degree in business economics, finance, accounting or related studies
    • Min 2 - 8 years experience in the credit risk analysis of institutional clients
    • Must in banking, financial investment, or banking share services industry
    • Knowledge of global accounting standards and accounting principles
    • Knowledge of financial markets, regulatory requirements and economic relationships
    • Understanding of complex risk issues, analytical skills, readiness of mind, decision-making power, resilience, and sense of responsibility
    • Methodically structured working methods; organizing your own work independently
    • Understanding digitization
    • Enjoy working in a team with different cultures
    • Good command of written and spoken English - additional language skills would be desirable, e.g. German
    • Good skills in usage of MS Office applications (Excel, Word) as well as experience in handling data and IT tools

  • 英文

    -

  • 其他语言

    English

附加信息

  • 福利制度

    - Annual leave
    - Sick leave
    - Paternity leave
    - Maternity leave
    - Compassionate leave
    - Marriage leave
    - Hybrid working style
    - Flexible Spending
    - Dental
    - Performance bonus depending on personal and company performance
    - Group Hospitalization & Surgical
    - Group Term Life
    - Group Personal Accident
    - Outpatient & Specialist benefit, Annual Claim Limit as below:
    - EPF contribution

  • 工作时间

    9.00AM ~ 6.00PM

  • 假日

    -

  • 职业类别