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Manager / Sr Manager, Credit Analyst, Buy-side

  • Group Credit Risk Management
  • Asia Credit Market Analysis
  • Leading International Insurance Group

Our client is a well-established International Insurance Group. With increasing business activities and a solid growth plan in place for Asia, the group is now seeking a high-calibre Credit Analyst to join the Group Credit Risk Management team to monitor and analyse the Group’s Credit Risk Exposures.

The key responsibilities for this position are as follows:

  • Part of the Credit Risk Management function for the Asia region, assessing counterparty risks, invested credit risk and group credit risk exposures.
  • Assist in monitoring the group’s credit exposures by performing credit analysis on individual corporates and financial institutions names and conducting credit research for credit sectors and regulatory risks in the Asia market.
  • Conduct credit risk reviews and analysis to set credit risk appetite, credit limits and annual credit risk themes.
  • Support risk oversight, governance and control, develop and maintain the counterparty and invested credit limit framework as well as to establish credit risk policies and standards.
  • Work with the team to develop credit monitoring tools, data management tools and systems.
  • Keep abreast of economic and market news and conditions, work with external analysts, credit rating agencies and relevant professionals for industry updates and information.

Successful applicants will have the following skills and experience:

  • Degree qualified with around 8 - 10 years of relevant experience in Credit Analysis, Credit Risk Rating and / or Credit Research.
  • Candidates with less years of experience will be considered at Manager level.
  • Qualifications in FRM, CFA and / or CPA would be beneficial but not required.
  • Experience gained from Insurance, Asset Management, Investment Banking, Corporate Banking and / or Credit Rating Agencies.
  • Familiar with credit products, financial markets and private debt markets would be advantageous.
  • Understanding on credit ratings, limit frameworks and risk measures.
  • Excellent presentation and communication skills in English.

Information provided is for recruitment purposes only.

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