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A leading global financial services firm is seeking a Credit Risk Analyst to assist in managing a complex credit portfolio across Pan Asia. The role involves providing analytical support for derivative products and collaborating with credit risk managers on various projects. Ideal candidates will have a strong technical background in finance and quantitative skills, with proficiency in Python, SQL, and Excel VBA. Morgan Stanley offers a supportive environment focused on diversity and inclusion, with ample opportunities for professional growth.
Morgan Stanley is a leading global financial services firm providing a wide range of investment banking, securities, investment management and wealth management services. The Firm's employees serve clients worldwide including corporations, governments and individuals from more than 747 offices in 42 countries.
Private Wealth Management Asia is an integrated business within Institutional Securities. We provide highly personalized, best-in-class investment advice, execution services and wealth management and banking solutions to Ultra High Net Worth individuals and families across the region.
Department Profile
The cornerstone of Morgan Stanley's risk management philosophy is the execution of risk-adjusted returns through prudent risk-taking, which protects Morgan Stanley's capital base, liquidity and franchise. The APAC Firm Risk Management Division is responsible for the independent identification, analysis, reporting and escalation of all credit, market, operational and liquidity risk exposures arising from business activities, acting independently of business management and providing an effective challenge process.
Credit Risk Management (CRM) evaluates credit risk of transactions, especially loans and derivatives, from all BUs within the Firm and approves, rejects or modifies them after thorough consideration of various factors. CRM also assigns Internal Credit Ratings; establishes and manages credit risk limits in accordance with the risk tolerance established by the Board; monitors and reports on credit risk exposures on a regular basis to the Chief Risk Officer and senior management.
Job Description
Assist credit risk managers in managing a complex credit portfolio across Pan Asia. We are looking for someone eager to leverage a strong technical background [i.e. Excel, SQL, PowerBI] in fast moving wealth management environment [i.e. complex financial products].