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Location: | Japan |
Salary: | Negotiable |
Job Type: | Permanent |
Specialization: | Alternative Investment Management, Asset Management, Banking, Financial Services & Vendors |
Reference: | BBBH44953_1688013008 |
Role: Credit Investment Risk Manager - Structured Finance
Seeking for a skilled credit risk professional to join Asian Credit Risk Department in Tokyo. The role involves evaluating credit risk transactions, particularly loans and derivatives, from all business units within the firm.
Responsibilities:
Evaluate and analyze structured financing deals in the Asia region.
Manage risk for the Special Situations Group, ensuring adherence to risk appetite.
Develop risk management framework, including underwriting standards and portfolio risk monitoring.
Conduct credit due diligence and recommend internal credit ratings.
Monitor and manage portfolio risk diversification and exposure.
Present reports to senior management and governance committees.
Review memos for active/potential clients.
Requirements:
- Japanese Fluent/English Business
- 5-10 years in Structured Finance (Credit Risk/Firm Risk Management)
- Knowledge of Securities Lending (Mortgage/Loans/Distress Lending/ Distressed Credit Analysis)
- Knowledge of Real Estate/Credit Investment (Special Situations Group experience is perfect).
Sorry, this job is no longer available
Japan
Negotiable
Japan
Negotiable
Japan
Negotiable
Japan
Negotiable