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Familiar with margin financing rules and regulations, good quantitative skills on stock performance analysis and risk parameters, such as VaR, stress, PD, LGD, etc
Monitor the client's risk exposure to ensure that the client responds to margin calls in a timely manner and reports abnormal situations
Conduct credit evaluation and due diligence on clients, and prepare credit evaluation and due diligence reports for their margin financing applications
Analyze abnormal fluctuations of stock price, assess the impact on margin business, and assist in providing risk mitigation measures
Provide opinions and suggestions on financing applications in accordance with the regulatory authority's guidelines for financing business
Perform User Acceptance Test (UAT) on new systems and projects
All applications applied through our system will be delivered directly to the advertiser and privacy of personal data of the applicant will be ensured with security.