Manager Credit (Securities)

Kuala Lumpur

Responsibilities:

  1. Service Quality

    • Handle all margin related matters which include Margin renewal and ensure completeness of task within targeted turnaround time (TAT);

    • Attend & provide support to DR/ client’s request on a promptly, accurate and professional manner;

  2. Credit Evaluation:
    • Pre & Post Approval activities and operations of Share Margin

    • Perform periodic review on margin accounts.

    • Assess credit searches (CCRIS search on clients/ guarantors).

    • Perform evaluation on client background, pledging of collateral, single counter/ single client exposure and shares analysis.

    • Credit research, review and updated market information particularly on companies listed on BURSA Malaysia.

    • Ensure all tasks and documents are reviewed and within stipulated Policies.

    • To attend audit request as when required.

  3. Policy & Procedure
    • Preparation, maintenance and updating of margin department’s manual on a timely basis. Periodic review on ceiling price computation.

  4. Undertakes any assignments as and when instructed by the superior and/or the Management, including project enhancement.

 

You are required to adhere to the Company’s Information Technology (“IT”) Policy and Procedure, Bursa Malaysia Berhad IT Security Standard (ITSS) and/ or any other related regulatory requirement pertaining to IT and intellectual property rights.

Requirements

  1. Degree in Finance, Accounting, Economics or equivalent Professional Qualification. Master’s degree in Finance or Economics can be an advantage, especially for senior roles.

  2. Minimum 5 years working experience in financial institution with at least 3 credit assessment or share margin financing.

  3. Experience in Regulatory reporting (i.e.: ARMADA, CAR Ratio).

  4. Sound knowledge in Credit analysis, financial analysis, Banking or lending and Risk management

  5. Strong analytical and quantitative skills.

  6. Ability to interpret financial statement.

  7. Ability to work under pressure and meet deadlines

  8. Proficient in written & spoken English.

  9. Proficient in analytical tools like MS Word, Excel, Financial Software (Bloomberg & Financial Ratio- will be added advantage)

If you are interested to apply, please contact the person in charge: