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Perform pre-execution measurements in the perspective of middle-office risk control;
Monitor market trends and conduct credit risk analysis on margin business and investment business;
Conduct in-depth assessments and approvals on fixed income and equity financial products, especially investment grade bonds;
Conduct credit assessment and evaluation on credit applications;
Conduct quality control of Debt Capital Market projects to ensure that all deliverables meet internal standards and regulatory requirements;
Perform post-loan monitoring and reporting to ensure the credit exposures are within the risk limits of the Group;
Review and update credit risk management procedures and policies;
Perform ad hoc assignments and handle special projects with product related issues from time to time required by management.
Requirements:
Degree holder in Business Administration, Finance or related discipline;
5 years’ relevant experiences in financial services industry;
Good knowledge of different financial products, including securities financing, IPO financing, and future contracts;
Proficiency in Microsoft Excel, Word & Powerpoint, knowledge of VBA preferred;
Good command of spoken and written English and Chinese, Putonghua is a MUST;
Self-motivated with strong analytical skill and risk control sense.
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