Our client is a Top Global Investment Bank with offices around the world and with a strong focus in the Asia market.
This is a VP, FI Credit Risk position as part of their Asia portfolio and to conduct in-depth credit risk management oversight for all risk-related issues for the FI portfolio. Candidates will be responsible for credit risk reviewing and credit assessments, while manging own credit portfolio, focusing on FI counterparties portfolio.
To be considered for the role, you should have a minimum of 10-12 years of relevant experience in the FI credit space/portfolio analysis from an international or investment bank.
Candidates needs to have good exposure to key products in capital markets such as equities, FX, swaps and derivatives.
To express an interest, please send your resume to mail: firstname.lastname@example.org or contact Zul Azman on +852 2520 5844 for discussion.