Job descriptionAssist in review of risk management framework, policies and proceduresConduct risk analysis and assessment to identify and monitor major risks of the BankPerform ad hoc tasks and projects assigned by supervisorUniversity Degree in Finance, Economics, Risk Management, Mathematics or other related disciplines with minimum 3 year relevant working experienceExperience in relevant credit risk management / credit risk modelling / risk methodology experience will be an advantageSelf-motivated with good interpersonal and communication skill in both English and ChineseStrong data analysis skills using relevant software packages i.e. Python, VBA, RCFA / FRM Level I or above is preferable