COUNTERPARTY CREDIT RISK - AVP / VP
- Employer
- Recruitment Intelligence Consultants Limited
- Location
- Hong Kong, Hong Kong
- Salary
- competitive package
- Closing date
- Sep 27, 2023
View more
- Job Function
- Hedge Funds
- Industry Sector
- Finance - General
- Employment Type
- Full Time
- Education
- Bachelors
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- International Investment Bank
- Exposure to prime brokerage business would be preferred
Our client is an international investment banking firm providing insight, expertise and execution to investors, companies and governments. The firm provides a full range of investment banking, sales, trading, research and strategy across the spectrum of equities, fixed income, foreign exchange, futures, commodities and select asset and wealth management strategies globally. They now invite an outstanding candidate to join them.
You will be responsible for
- Counterparty credit risk and conduct credit risk analysis and research, credit limit review and approval, trading structure analysis, and post-trade monitoring on prime brokerage business, derivative trading and structured products, including TRS and portfolio TRS, Repos, options, bond-linked notes, equity-linked notes, structured notes and collateralizedfinancing
- Initiated comprehensive credit assessment and review of financial institutions, hedge funds and high net worth individuals by fundamental and financial analysis, regulatory and industry analysis, client interviews and on-site due diligence, scenario analysis and stress testing on counterparty's creditworthy, and concluded with the credit review reports for Executive Committee level's decisionmaking
- Identification and calculation of potential future exposures and risk capitals, stress testing of portfolio drawdown and counterparty's creditworthy, internal credit rating and exploration of implied credit rating, and valuation and liquidation testing ofcollateral
- Derivative and structured product trade level approval including trade structure analysis, identification and calculation of potential future exposures, and verification of initialmargins
- Coordinate post-trade monitoring on limit utilization reports, collateral and initial margin reports, client tiering reviews, and hedge fund strategy performanceappraisals
- Coordinate with Legal on key credit term negotiations of the master agreements asISDA/GMRA/GMSLA
- In-depth knowledge in derivatives and prime brokerage business, risk measurements and assessment, and strong modeling and quantitativeskills
To be considered, you should be a degree holder with a minimum of 8 years of relevant credit risk experience in financial industry together with excellent market knowledge with sound communication and presentation skills.
Interested applicants should send a detailed resume to Michelle Ho by email to mho@ric.com.hk quoting reference eFC3508.
(Applicants not contacted within 4 weeks should consider their application unsuccessful.)
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