the team manages the risk/reward tradeoffs across various initiatives and ensures that portfolio performance is within the approved credit benchmarks. Role Outline/Job Summary: The incumbent will assist the Portfolio Credit Risk Head and the Credit Acquisition Risk Manager in monitoring and enhancing
Description This critical position is part of Mortgage Risk Management team – the team manages the risk / reward tradeoffs across various initiatives and ensures that portfolio performance is within the approved credit benchmarks . Role Outline/Job Summary The incumbent will assist
strategies with Business Head, if required To keep abreast with competition on the product developments and portfolio behavior To keep an eye on various industries to identify opportunities and threats, early warning signals To devise training module for the sales team and monitor its implementation Should have a good understanding of SME space and the risk asociated with various industries Should ...
Ensuring consistent dialogue is maintained with customer groups to make sure their requirements are met Solid product knowledge and understanding of credit structure Work independently and assist In-country Risk Senior Credit Officers in portfolio management Qualifications Education: Graduate with 5-6
application portfolio management data and application dependencies ·Initial point of contact for architecture and technology-related matters initiated within assigned GFTS portfolios (e.g. POCs, systemic production issues, assistance with architecture tools, requests for assistance from other technology
to alternative asset classes such as private equity, real estate and hedge funds. Roles & Responsibilities: Global Fixed Income and Liquidity comprises of Portfolio Management and Client Portfolio Management team which invests into a wide range of Investment products such as mortgages, investment grade
getting approvals and managing ensuring end-to-end campaign execution from setup, system testings, communication, creative design, approvals and fulfillments Manage strong working relationships with sales platform and Insurers for ongoing marketing activities, events and campaigns Assist in business
Ensure SV Targets are met , Renewal Targets are met , Adherence to Credit Policy , Periodic Training of technicians Make Customer Visits & conduct Site Inspection Ensure Chemical Consumption is line with services delivered Ensure all Safety Standards
Primary Location: HK,Hong Kong,Hong Kong Education: Bachelor's Degree Job Function: Marketing Schedule: Full-time Shift: Day Job Employee Status: Regular Travel Time: No Job ID: 16059309 Description Assist AVP to manage and grow segment portfolio through product penetration and channel
The role is for a Market Risk Analyst to work within the Portfolio Risk Management team as part of the Market and Liquidity Risk Management (MLRM) Department. The individual will play a key role in the production, delivery and development of Risk Management Information (MI) for Senior Management BSc Degree or equivalent (or higher) in a numerate subject. Strong analytical skills with great attention to ...
for Client/Consultant review meetings Assist with the preparation of client performance reports and investment review materials for new and existing marketing initiatives and providing commentaries on performance drivers. Monitoring guidelines and adherence for internal/external managed portfolios Co-ordinate
value and demand respect for others and where opportunities to develop are widely available to all. Position SummaryThe Costco Portfolio Small Business Program Manager is responsible for supporting portfolio performance for the co-brand Costco small business cards. In addition, this role will have
Position: Global Liquidity – Client Portfolio Management Analyst Business Overview: J.P. Morgan Asset Management - Global Liquidity: Global Liquidity is the short-term investment division of J.P. Morgan Asset Management, one of the largest asset managers in the world. This division of J.P. Morgan
Description Position Title: Assistant Manager Grade/Level: C10 Business Group: CSIPL Function/Group: Citi Retail Services – Risk Strategy & Integration Department: Risk Strategy & Integration Location: Mumbai Role and Responsibilities: Objectives: Enhance and improve the Risk policies using
Description Job Description Position Title: C11 - Credit & Portfolio Analyst 3 - Manager Grade/Level: C11 Business Group: CSIPL Function/Group: Citi Retail Services - Risk Management Analytics Department: Loss Forecasting Team Location: Mumbai Role and Responsibilities: Objectives ...
manage and control early warning tasks with timely manner. Qualifications Master degree in Banking and/or Finance or related field. 3-5 years of experience in banking industry, especially credit analyst or relationship manager or portfolio management. Sound credit knowledge and analytical skills ...