Generate regular analysis on credit risk for assigned portfolio and manage the exposure against predetermined limits whilst adhering to the company risk management framework
Articulately communicate current and future potential risk to internal stakeholders whilst ensuring that all data is captured and recorded in accordance with company reporting standards
Assess and present credit risk limits for new business proposals whilst also staying abreast of any external events that may affect the current portfolio
Maintain and develop the Function’s risk capabilities and skills to meet ongoing business needs and plans
Adhoc project work as required
Requirements:
A minimum of 6-8 years experience in credit risk management within investment banking, retail banking or wealth management
Fluent Korean speaking is a prerequisite for this role as is strong knowledge on the South Korea market
Strong technical expertise with a focus on financial markets and a wide range of products
Excellent communication skills, a high level of attention to detail and the ability to influence and negotiate at all levels are essential for this role