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Manager Credit Risk

Job Reference:GMI/FIN/FL/08018/Web

Global Banking and Markets


HSBC's Global Banking and Markets business provides tailored financial solutions to major government, corporate and institutional clients world-wide. We welcome those looking for a dynamic & challenging working environment with a focus on Global Banking and Markets credit risk management. The incumbent will join the Credit Approvals team within the Traded Credit and Market Risk, Asia Pacific, providing him/her exposure to products transacted in the Global Markets area from a credit risk perspective.


Key Responsibilities


  • Devise appropriate limit structures and monitoring mechanisms to ensure effective control, accurate reporting and timely management of credit risk relating to Global Markets transactions
  • Review and recommend debt/syndicated loan financing, securitization, banks, financial institutions, and preferably hedge funds related credit applications
  • Formulate treasury product/business credit related policies and improve credit risk management on product/business portfolio(s), including but not limited to review and make recommendations to optimise limit utilization, to mitigate credit risk and to implement effective credit risk controls
  • Contribute to the implementation of credit related control processes through coordination with the relevant parties. Monitoring and investigating limit excesses relating to Global Markets products
  • Enhance knowledge on the identification and management of credit risks associated with the Global Markets business by providing advice and training to the following parties: 1. Global Markets Front Office and Back Office 2.Relationship Managers in Corporate Banking/Commercial Banking/Financial Institutional Group/Global Markets 3.Credit Risk functions across Asia-Pacific 4. Other control functions as requested
  • Provide support services in relation to ad hoc requests by the Business and credit risk reports/projects by management
  • Maintain HSBC internal control standards, including the timely implementation of internal and external audit points together with any issues raised by regulators

Requirements

  • University graduate in Risk Management, Finance, Economics, Mathematics or related disciplines
  • Good knowledge of Global Markets products in general
  • Five years plus experience in Global Markets risk management area, preferably with exposure to debt/ syndicated loan financing, hedge fund and securitization business gained from reputable investment banks. Strong candidates with less experience will also be considered
  • Strong quantitative and analytical skills
  • Strong presentation and communication skills, with the ability to liaise with colleagues at all levels in Hong Kong and overseas
  • Mature and confident to make decisions and resolve issues
  • A self-starter with drive, integrity, good team spirit and ability to work in a dynamic and fast-paced work environment

Application Method


Please send your CV with the job reference to:

Email: GlobalBankingandMarkets-HK.HR@hsbc.com.hk


HSBC is an equal opportunity employer. We value the diversity of individuals, ideas, perspectives, insights and values, and what they bring to the workplace. Applications are welcome from all qualified candidates.

Data held by the Bank relating to employment applications will be kept confidential and used only for processing applications. Applicants who are not contacted within four weeks may consider their application unsuccessful. The Bank will retain their applications for a maximum period of two years and may refer suitable applicants to other vacancies
within the Group. A copy of our Personal Information Collection Statement can be provided upon request by contacting Human Resources Asia-Pacific at the above e-mail address.

Issued by The Hongkong and Shanghai Banking Corporation Limited.