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头部中资券商广发证券(香港)Analyst (Credit Risk), Risk Management

wang 2026-05-28 行业资讯
头部中资券商广发证券(香港)Analyst (Credit Risk), Risk Management
广发证券(香港)

广发证券(香港),即广发控股(香港)有限公司及旗下子公司,作为广发证券推进国际化战略的核心平台,积极打造一站式环球交易与产品平台,致力于成为聚焦亚洲市场、具有中国优势及湾区特色的领先中资券商。广发证券(香港)提供全球市场、财富管理与经纪及资本市场等全方位金融服务,持有香港证监会第一、四、六及九号牌照,及由保险业监管局发出的保险经纪公司牌照。

🔥🔥头部中资券商广发证券(香港)Analyst (Credit Risk), Risk Management,base香港,起薪hkd 20-30k,主要负责债券及交易对手的信用评级、风险监控与授信审查,支持风控模型及合规报告工作。要求本硕985/香港名校/QS50院校理工科复合背景+具有FRM/CFA/CPA或相关资格者优先+应届生或有1-3年证券、银行或资产管理机构信用风险相关经验优先+英文流利会粤语加分+持有香港合法工作签证

Responsibilities

  • Facilitate the internal rating process for bond issuers and counterparties, including information gathering, data validation, and application submission

  • Monitor daily risk and credit limits, promptly identifying and reporting any breaches, and tracking the progress of corrective actions;

  • Independently compile, analyse, and submit periodic credit risk reports in a timely manner;

  • Assist in conducting credit risk assessments and preliminary reviews for client credit applications and business projects; prepare and maintain detailed review working papers to support the approval process;

  • Participate in data collection, result verification and relevant model validation for measurement models including ECL and RAROC, ensuring compliance with regulatory and internal management requirements;

  • Continuously monitor negative public sentiment and early warning signals to identify potential risks and track their resolution.

  • Conduct pre-onboarding risk assessments and due diligence on third-party fund management companies and products.

  • Assist in the preparation, reconciliation, and submission of credit risk data for consolidated reporting in accordance with head office requirements, ensuring proper documentation.

  • Maintain client and counterparty basic information in risk management system, verify and reconcile system data, and support the optimization and demand development of system functions.

  • Perform other risk management duties as assigned, including ad-hoc projects, special investigations, and regulatory filings.

Requirement

  • Master's degree or above in Finance, Economics, Accounting, Risk Management or related disciplines; FRM/CFA/CPA or relevant qualifications are preferred;

  • Recent graduates and working professionals are both welcome. 1-3 years of relevant experience in credit risk in securities, banking or asset management institutions; familiarity with Hong Kong regulations and cross-border securities business are preferred;

  • Solid knowledge of end-to-end credit risk management, familiar with Basel Accords, HKMA and SFC requirements; proficient in Bloomberg and MS Office;

  • Fluent in written and spoken English and Chinese, Mandarin is a must;

  • Detail-oriented, responsible, with good data analysis and risk sensitivity, able to handle multiple tasks efficiently under pressure, with strong sense of risk control;

—end—

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报名方式

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双方就服务方案达成一致后,我们将为您启动全方位的求职支持服务。您将在顾问的专业指导下,正式向目标职位提出申请,并确保每一个环节都得到专业协助。

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微信号:Eadro Consulting

英文ID:ydoffer2026

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