Job Description
This is aTwo Year Maximum Termcontract role.
n Responsibilities:
n Portfolio Management (Credit Risk)
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Credit Rating Monitoring, Analysis and Management
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Key Risk Indicators monitoring and reporting
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Credit risk review, analysis and reporting.
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Regulatory and Management Reporting (Credit Risk)
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Credit Risk related APRA return reporting
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Credit Risk related Head Office / Management reporting
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Other Ad Hoc Credit Risk related regulatory requirements correspondence and supporting.
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Other ad-hoc Credit Risk related tasks assigned by the department.
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Knowledge/Skills
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Excellent proficiency in MS Excel / Word / PowerPoint skills
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Excellent verbal and written language ability in both English and Mandarin
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CPA / CFA / FRM member of candidate Preferred.
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Experience/Qualifications
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2 years of experience in banking / financial services / Auditing experience, preferably in 2nd line of defense role
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Positive knowledge in credit risk management, detail and result oriented.
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Excellent co-ordination ability and interpersonal skill.
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Candidates must have must have PR or NZ/Australian Citizenship to be considered.
📌 (Assistant) Risk Manager - Credit Risk Portfolio Managment (New South Wales)
🏢 Bank Of China
📍 New South Wales
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