• 花旗(台灣) 商業銀行股份有限公司(花旗銀行)
      台北市信義區面議(經常性薪資4萬/月含以上)3年工作經驗以上大學,碩士百大企業外商企業

      1. Managing Portfolio Finance BCPPM, and regular reporting/MIS submission timeline 

      2. Establish Portfolio Finance credit policies, the end-to-end monitoring process, and manage full set of regulatory reporting and MIS. 

      3. Daily margin call and force-sell monitoring and mark-to-market monitoring to ensure that no contingent loss occurs when equity market fluctuated suddenly. 

      4. Managing the daily / weekly / monthly regulatory reporting (e.g., CCAR 14A, FDIC, CCAR 14Q, Credit Bureau, IFRS9, Local Basel, US Basel, Local Stress Test etc.) to ensure that the submission on timely manner and as per requirements. 

      5. Conduct CA annual renewal to ensure that customer’s qualifications and approval limit are still adequate and no breaches. 

      6. Facilitate Regulatory, Internal Audit, Fundamental Credit Risk and others relevant examinations and coordinate management responses and follow-up, matter relating to credit bureau. 

      7. Support ad-hoc deliverables to the regulators and senior managements, closely working with Regional/Global MSBF specialist. 

      8. Work closely with other members of the Consumer Risk Team as well as Senior Management, Risk Managers, Business, Technology, Legal Compliance, Financial Control and other groups within the firm. Raise, investigate and follow-up on issues related to data quality, reporting requirement, TCF and etc.


      要求條件

      商業及管理學門 相關科系

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    • 更新時間:2020-09-17
    • 花旗(台灣) 商業銀行股份有限公司(花旗銀行)
      台北市信義區面議(經常性薪資4萬/月含以上)5年工作經驗以上大學,碩士百大企業外商企業

      1. Contribute to the development of new techniques and improvement of processes and work-flows by applying in-depth disciplinary knowledge and integrating subject matter and industry expertise within Risk Management 

      2. Develop recommendations to adjust credit policies by analyzing credit and financial performance and utilizing statistical scoring, segmentation, and regression and simulation techniques 

      3. Utilize Statistical Analysis System (SAS) in a UNIX environment to perform risk, financial and data analyses including profiling, sampling, reconciliation, and quality testing 

      4. Research customer and/or management queries using risk systems and data and support ad-hoc risk policy analyses and projects as required 

      5. Participate in developing, testing, and optimizing credit policies, ensuring consistency and regulatory compliance, and assist in the implementation of those policies, processes and other related initiatives 

      6. Manage risk levels for the entire credit spectrum across multiple products and retail formats and prepare risk management presentations for senior management 

      7. Appropriately assess risk when business decisions are made, demonstrating particular consideration for the firm‘s reputation and safeguarding Citigroup, its clients and assets, by driving compliance with applicable laws, rules and regulations, adhering to Policy, applying sound ethical judgment regarding personal behavior, conduct and business practices, and escalating, managing and reporting control issues with transparency.


      要求條件

      商業及管理學門 相關科系

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    • 更新時間:2020-09-15
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