VP, Credit Risk Management: Portfolio & Stress Testing Leader

ALL-STAR AGENCY

Hong Kong

On-site

HKD 1,200,000 - 1,800,000

Full time

3 days ago
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Job summary

ALL-STAR AGENCY in Hong Kong seeks a VP, Credit Risk Management to shape the bank's credit risk monitoring framework and strengthen internal controls across the corporate lending book.

You will lead portfolio reviews, develop stress testing capabilities, and drive risk analysis while reporting to senior management. The role emphasizes early warning, risk management, and regulatory compliance within a growing regional bank.

Qualifications

  • University graduate in Finance, Economics, Risk Management, or a related discipline.
  • CFA, Accountant, and/or FRM certification is a plus; HKIB ECF-CRM preferred.

Responsibilities

  • Conduct consistent portfolio reviews on asset quality and identify emerging risk, with risk reporting to senior management.
  • Design and execute credit risk stress testing and scenario analysis to assess portfolio resilience and inform risk appetite.
  • Enhance the loan management framework, including early warning systems, monitoring triggers, and remediation processes.
  • Drive industry and country risk analysis and lead ad hoc credit risk projects to manage concentration and counterparty risk.
  • Conduct internal control testing to ensure enforcement of credit risk policies and procedures.
  • Review internal guidelines, procedures, and policies for regulatory compliance.
  • Proactively manage Early Warning accounts to prevent deterioration in asset quality.
  • Assist the department in handling internal and external audit activities.
  • Perform any other duties as assigned by the Head of Credit Risk Management

Skills

Analytical skills
Communication skills
Interpersonal skills

Education

Finance/Economics/Risk Management degree

Job description

ALL-STAR AGENCY in Hong Kong seeks a VP, Credit Risk Management to shape the bank's credit risk monitoring framework and strengthen internal controls across the corporate lending book.

You will lead portfolio reviews, develop stress testing capabilities, and drive risk analysis while reporting to senior management. The role emphasizes early warning, risk management, and regulatory compliance within a growing regional bank.

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