As part of the Global Risk Management team act as the custodian of company’s risk architecture, including risk strategy and governance, and its management within the prescribed policy limits; including designing and implementing structures, processes and methods used in financial and non financial risk management with an aim to develop practical and applicable solutions that are compatible with the corporate risk statement and principles.
The position will have primary responsibility for credit risk approvals and will be accountable for overall portfolio performance and asset quality.
· Responsible for identifying emerging risk within a global portfolio and integrating related risk strategies. Accountable for cross-Line of Business (LOB) risk execution.
· Responsible for independent control of the risk management processes.
· Assess and prioritize key risk issues and determine appropriate risk escalation. Responsible for timely communication and escalation of any significant existing and emerging credit to the FI APAC Risk Head.
· Oversee local Country and risk management governance structure.
· Manage a team of risk officers/analysts responsible for evaluating credit risk within the assigned portfolio.
Requirements
· Requires 12+ years of related experience. May have formal or informal management responsibility of a team.
· Must have superior communication and credit skills, line management and administrative experience
· Experience and ability to build working relationships with various business partners and interaction with various levels of management
· The position requires extensive knowledge and experience with credit portfolio, portfolio management and risk management. Responsible for determining strategy for managing and identifying risks for the portfolio.
· Deep understanding of the Global Banking & Markets product and knowledge of various loan and traded products documentation
· Strong English communication skills and Mandarin speaking skills
