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Credit Risk Manager

$ 7,000 - $ 10,000 / month

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Job Description

Description

Our client is a Commodity Trading MNC with HQ in Japan, currently seeks a Credit Risk Manager to join their team.

Reporting to the Head of Credit Risk, the incumbent will be working in a team of 5 staffs. He / She will be responsible for supervising the team, monitoring credit exposure status, investigating excesses & overdue of all the outstanding deals, recommend appropriate credit limits, and credit reviews of all the counterparties and financial institutions. The main duties will include credit risk management, implementing credit policies / operating procedures, negotiating policy's terms, developing & managing relationships with key counterparties and participating in stakeholder meetings.

Additionally, he / she will need to liaise with internal BUs, and be more involved in operational support / projects

Successful applicants can look forward to working in a structured environment with good company benefits.

Skills and Qualifications

  • Min a Bachelor's degree in Finance, Economics, Statistics, or a related field
  • At least 10 years of working experience in the credit risk management with a min of 4 years in the commodity trading firm
  • Prior working experience in supervisory work, managing a team of 2-3 staffs will be preferred
  • Knowledge in AML and KYC policies a plus
  • Understanding of Credit Rating Models, derivatives & trade finance structured products instruments
  • Business requirements on credit risk management policies in the commodity trading field such as L/C, B/L, B/C, VaR, MtM, international trading)

Job Description

Description

Our client is a Commodity Trading MNC with HQ in Japan, currently seeks a Credit Risk Manager to join their team.

Reporting to the Head of Credit Risk, the incumbent will be working in a team of 5 staffs. He / She will be responsible for supervising the team, monitoring credit exposure status, investigating excesses & overdue of all the outstanding deals, recommend appropriate credit limits, and credit reviews of all the counterparties and financial institutions. The main duties will include credit risk management, implementing credit policies / operating procedures, negotiating policy's terms, developing & managing relationships with key counterparties and participating in stakeholder meetings.

Additionally, he / she will need to liaise with internal BUs, and be more involved in operational support / projects

Successful applicants can look forward to working in a structured environment with good company benefits.

Skills and Qualifications

  • Min a Bachelor's degree in Finance, Economics, Statistics, or a related field
  • At least 10 years of working experience in the credit risk management with a min of 4 years in the commodity trading firm
  • Prior working experience in supervisory work, managing a team of 2-3 staffs will be preferred
  • Knowledge in AML and KYC policies a plus
  • Understanding of Credit Rating Models, derivatives & trade finance structured products instruments
  • Business requirements on credit risk management policies in the commodity trading field such as L/C, B/L, B/C, VaR, MtM, international trading)