Credit risk assessment
- Employer
- 中信建投证券股份有限公司
- Location
- Beijing, China
- Salary
- negotiable
- Closing date
- Mar 22, 2019
View more
- Job Function
- Risk Management
- Industry Sector
- Finance - General
- Employment Type
- Full Time
- Education
- Bachelors
You need to sign in or create an account to save a job.
信用风险评估岗
岗位职责:
负责完善公司信用风险评估、交易对手信用评级方案及流程;
负责组织实施交易对手的尽职调查、资信评估与信用评级、授信工作;
负责参与重点信用类资产、履约保障品的后续跟踪工作;
负责与上述工作有关的风险报告、风控评价工作;
负责部门安排的其他与风险管理相关的工作。
任职资格:
硕士及以上学历,具有财经、金融工程、法律或工科专业背景;
具有2年以上境外金融机构风险管理相关工作经验;
具备良好的文字及语言表达能力、沟通能力;
具备证券从业资格、注册会计师、FRM或CFA资质证书者或熟悉股票估值分析者优先。
Position: Credit risk assessment
Responsibilities:
Improving the company's credit risk assessment, counterparty credit rating programs and processes;
Organizing and implementing due diligence, credit evaluation, credit rating andcredit granting of counterparties;
Follow-up of key credit assets and performance guarantees;
Risk reporting and wind control evaluation related to the above work;
Other risk management related work arranged by the department.
Qualification:
Master degree or above with major background in finance、engineering、law or engineering;
More than 2 year experience in risk management of overseas financial institutions;
Good written and linguistic skills and communication skills;
Those qualified as securities practitioners, certified public accountants, FRM or CFA certificates or familiar with stock valuation analysis are preferred.
岗位职责:
负责完善公司信用风险评估、交易对手信用评级方案及流程;
负责组织实施交易对手的尽职调查、资信评估与信用评级、授信工作;
负责参与重点信用类资产、履约保障品的后续跟踪工作;
负责与上述工作有关的风险报告、风控评价工作;
负责部门安排的其他与风险管理相关的工作。
任职资格:
硕士及以上学历,具有财经、金融工程、法律或工科专业背景;
具有2年以上境外金融机构风险管理相关工作经验;
具备良好的文字及语言表达能力、沟通能力;
具备证券从业资格、注册会计师、FRM或CFA资质证书者或熟悉股票估值分析者优先。
Position: Credit risk assessment
Responsibilities:
Improving the company's credit risk assessment, counterparty credit rating programs and processes;
Organizing and implementing due diligence, credit evaluation, credit rating andcredit granting of counterparties;
Follow-up of key credit assets and performance guarantees;
Risk reporting and wind control evaluation related to the above work;
Other risk management related work arranged by the department.
Qualification:
Master degree or above with major background in finance、engineering、law or engineering;
More than 2 year experience in risk management of overseas financial institutions;
Good written and linguistic skills and communication skills;
Those qualified as securities practitioners, certified public accountants, FRM or CFA certificates or familiar with stock valuation analysis are preferred.
You need to sign in or create an account to save a job.
Sign in to create job alerts
Sign in or create an account to start creating job alerts and receive personalised job recommendations straight to your inbox.
Create alert