

Financial Services
This role involves managing credit portfolios primarily consisting of German corporates and other institutional clients. The candidate will analyze financial and economic conditions, perform risk assessments, validate data, finalize credit ratings, make credit decisions, and prepare sector analyses.
This role involves managing credit portfolios primarily consisting of German corporates ranging from mid-sized to multi-national companies across various sectors, as well as international banks, public sector entities, or international non-bank financial institutions. The candidate will independently analyze financial and economic conditions of borrowers, perform qualitative and quantitative risk assessments, validate financial data, and finalize credit ratings. They are also responsible for credit decisions and preparing sector analyses such as the assessment of a country's banking system regarding stability and risks.
Possess at least degree in business economics, finance, accounting or related studies.
Min 2 - 8 years experience in the credit risk analysis of institutional clients.
Must in banking, financial investment, or banking share services industry.
Knowledge of global accounting standards and accounting principles.
Knowledge of financial markets, regulatory requirements and economic relationships.
Understanding of complex risk issues, analytical skills, readiness of mind, decision-making power, resilience, and sense of responsibility.
Methodically structured working methods; organizing your own work independently.
Understanding digitization.
Enjoy working in a team with different cultures.
Good command of written and spoken English - additional language skills would be desirable, e.g. German.
Good skills in usage of MS Office applications (Excel, Word) as well as experience in handling data and IT tools
Company
Agensi Pekerjaan Reeracoen Malaysia Sdn. Bhd.
Location
Kuala Lumpur
Salary
MYR 12000
Skills Required
6 skills
Click to submit your application
Business Economics
Finance
Accounting
Credit Risk Analysis
Banking
Investment Banking