Responsibilities
- Familiar with margin financing rules and regulations, good quantitative skills on stock performance analysis and risk parameters, such as VaR, stress, PD, LGD, etc;
- Monitor the client's risk exposure to ensure that the client responds to margin calls in a timely manner and reports abnormal situations;
- Conduct credit evaluation and due diligence on clients, and prepare credit evaluation and due diligence reports for their margin financing applications;
- Analyze abnormal fluctuations of stock price, assess the impact on margin business, and assist in providing risk mitigation measures;
- Provide opinions and suggestions on financing applications in accordance with the regulatory authority's guidelines for financing business;
- Perform User Acceptance Test (UAT) on new systems and projects.
Requirements
Undergraduate degree or above, major in Science and engineering, finance and economics related majors are preferred;Practicing qualification required by the regulatory place;3 - 5 years' relevant working experience;Good sense of teamwork and professionalism,munication, expression, and logical analysis skills;Proficiency in written and spoken English and Chinese (including Mandarin)Knowledge of relevant regulations and products,mon practices, and experience in customer credit analysis is preferred.Stay informed on CITIC CLSA Job Opportunities
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Job ID JR000852