Vice President, Credit Risk

Responsibilities

  • Review and evaluate business proposals of bond investment and structured products including TRS, Leveraged Note and cross-border transactions, negotiate with business on the risk management requirements;
  • Conduct credit analysis of counterparties and issuers of underlying securities;
  • Review and confirm the internal credit rating of counterparties/bond issuers;
  • Keep close attention on risk incidents and adverse market news, evaluate the potential risks and provide warnings/risk mitigation suggestions to business;
  • Work closely with relevant parties to enhance the functionality and stability of the risk reporting system;
  • Compose/update internal risk management report on regular basis or upon request.

Requirements

  • Bachelor Degree with major in Business, Science or Engineering;
  • At least 5 years’ experience in financial institutions with exposures to offshore Fixed Income/Equity market and structured products, candidates with less experience will be considered for Associate position;
  • Professional qualifications, such as CFA / FRM / CPA will be an advantage;
  • Proficiency in MS Office is a must;
  • Detail oriented and sensitive to numbers;
  • Good communication skills, fluent in Putonghua, proficient in Chinese writing.

We offer attractive remuneration package and fringe benefits to the right candidate. Interested applicants please send detailed resume stating present & expected salaries and date of availability to Human Resources Department by email (recruit@gfgroup.com.hk)

All applications will be treated in the strictest confidence and personal data collected will be used for recruitment purpose only.