Counterparty Credit Risk Analyst: Collateral & Risk

HSBC

Philippines

Hybrid

PHP 800,000 - 1,200,000

Full time

6 days ago
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Job summary

HSBC in Manila is hiring for a Subject Matter Expert - Counterparty Credit Risk - Collateral and Risk Manila. The role requires deep knowledge of Credit Risk, Market Risk, and related controls, with an emphasis on collateral management and risk reporting.

This position supports hybrid work arrangements and offers exposure to large-scale trading risk operations across HSBC's global network. The incumbent will investigate risk exposures, monitor limits, and engage with risk managers to ensure

Qualifications

  • Knowledge of Credit Risk, Market Risk, Collateral, Reconciliation.
  • Knowledge of Counterparty Credit Risk is an advantage.
  • Degree in Finance, Economics, Commerce or equivalent.
  • Knowledge of credit risk, treasury products, operations, systems and regulations.
  • Knowledge of group risk systems and trading systems desirable.
  • Programming in VBA and Excel skills advantageous.
  • Experience in Traded Credit Risk Control management environment desirable.

Responsibilities

  • Identify the breaks between front end trading systems and the risk portal systems toward remediation.
  • Investigate and report credit risk arising from trading activities against approved limits.
  • Report and analyze the cause of variation and address the issues to correct them.
  • Investigate and report credit risk arising from utilizations shown in risk systems.
  • Provide regular information to Traded Credit Risk Control managers on performance.
  • Interact with Traded Risk Control Managers and other risk managers to align risk systems roadmap.

Skills

Credit Risk
Market Risk
Collateral
Reconciliation
Counterparty Credit Risk
Finance Knowledge
Excel
VBA
SQL/Structured Query

Education

Finance, Economics, Commerce or equivalent degree

Tools

VBA
Excel
SQL

Job description

HSBC in Manila is hiring for a Subject Matter Expert - Counterparty Credit Risk - Collateral and Risk Manila. The role requires deep knowledge of Credit Risk, Market Risk, and related controls, with an emphasis on collateral management and risk reporting.

This position supports hybrid work arrangements and offers exposure to large-scale trading risk operations across HSBC's global network. The incumbent will investigate risk exposures, monitor limits, and engage with risk managers to ensure

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