Conduct credit analysis and manage investment portfolios for a bank, requiring a degree in Finance o
岗位职责
Conduct credit analysis on financial and corporate issuers, and take charge of the credit limit application and review process.
Carry out in-depth research on economic indicators and fixed income markets to identify investment opportunities.
Assist in managing the Bank’s investment portfolio within designated limits.
Provide market information and analysis to management for formulating strategic purpose.
Prepare regular and ad-hoc reports to management and regulatory authorities.
Participate in the development and support of the new systems and products.
申请条件
Degree holder in Finance, Economics or related disciplines.
At least 2 years relevant experience.
Familiar with treasury systems like Bloomberg, QB, etc.
With relevant Enhanced Competency Framework (ECF) qualification is preferable.
雇主简介
The Senior Asset & Liability Management Manager is responsible for overseeing and optimizing the bank's asset and liability structure. Key responsibilities include: Supervising a small team to formula...