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VP, Credit Analyst, Corporates Focused

  • Top-tier Investment Bank
  • South Asia Corporate Segment Focused
  • Credit Risk Analysis

Our client is a well-established International Banking Group with diversified businesses across Investment Banking, Private Banking and Asset Management in Asia. Due to increasing business activities and a solid growth plan in place for Asia, the Investment Banking business is now seeking a high-calibre Credit Analyst to join the Credit Risk Management team.

The key responsibilities for this position are as follows:

  • Part of the Asia Credit Risk Management function with key focus on analyzing a diverse range of Corporates (large corporates, MNCs, blue-chips, conglomerates) across the South Asia region.
  • Support the Asia team on fundamental credit analysis, assigning internal credit ratings, conducting credit research for the Corporates sector.
  • Produce credit risk analysis reports and present credit requests to management for approval.
  • Work closely with the front office and wider credit functions on transactions negotiations and credit support, as well as to discuss the risk appetite and rating rationale.
  • Monitor portfolio movements and provide regular portfolio reporting.
  • Liaise with the wider credit team on risk reporting, watchlist process and early warning indicators.
  • Work with the legal team to address and include credit risk related terms and relevant risks in the legal documentation.
  • Keep abreast of market movement, analyze credit trends, monitor economic, political and regulatory development impacting credit risk assessment.

Successful applicants will have the following skills and experience:

  • Degree qualified ideally with qualifications in FRM, CFA and / or CPA would be beneficial but not required.
  • Around 10 years of relevant experience in Credit Analysis, Credit Rating and / or Credit Research covering the Corporates sector.
  • Experience gained from Investment Banking, Corporate Banking, Asset Management and / or Credit Rating Agencies.
  • Experience in leveraged finance transactions would be advantageous.
  • Solid financial modelling and cashflow modelling skills.
  • 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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