Position Overview
Job Responsibilities Perform credit analyses on hedge fund, asset managers, insurance companies and banks with emphasis on investment strategy, asset quality, leverage, liquidity, historical performance, portfolio exposures and risk control framework. Support developing and expanding the business covering institutional and Hedge Fund clients in Asia through delivering our differentiated OTC Derivative solutions tailored to their investment process Evaluate derivatives and securities financing transactions across client base working closely with derivatives marketers, relationship managers, risk management, credit department and legal to mitigate risk. Approve initial margin requirements Provide continuous credit monitoring of assigned portfolio, ensure accuracy of assigned risk ratings and escalate any deterioration in credit quality to management Maintain open relationship with customers via due diligence meetings and periodic updates on performance. Negotiate master agreements, ident...