Credit Risk Management Department-Credit Analyst C&I Associate/AVP

Bank of China Limited, New York Branch

$42K — $150K *
Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • Minimum 3-4 years of C&I corporate credit risk and underwriting experience for Associate and AVP level respectively.
  • Bachelor’s degree required; preferred majors include Finance, Economics, or Accounting; advanced degrees like MBA or CFA are a plus.
  • Strong financial analysis and modeling skills necessary for credit risk management.
  • Knowledge of C&I industry essential for evaluating creditworthiness.
  • Bilingual ability in Mandarin is advantageous.

Responsibilities

  • Review and analyze credit requests from Front Office with minimal supervision, considering various factors such as financial performance and market conditions.
  • Document and provide recommendations on Front Office credit proposals.
  • Articulate credit risk assessments related to bankability and policy conformity of requests.
  • Provide insights on key terms, conditions, and risk ratings post-lending.
  • Assist account officers in structuring loans and managing exposures as needed.
  • Conduct regular reviews of existing credits per Bank policy to ensure compliance and quality.
  • Monitor industry trends and client-specific developments to mitigate portfolio risks.

Benefits

  • Opportunity to work in a dynamic credit risk environment.
  • Engagement with both internal and external stakeholders for comprehensive evaluations.
  • Access to ongoing professional development and industry knowledge acquisition.
  • Contribution to the enhancement of credit policies and processes.
  • Support in due diligence and loan structuring efforts.
Full Job Description
Overview

This incumbent will be responsible for conducting credit risk evaluations and make recommendations in conformance with Bank’s risk appetite and policies. In addition, the incumbent will implement credit process controls to monitor and maintain the asset quality of the US Branches loan portfolio, update Credit Risk Policies and Procedures to reflect changes in internal and regulatory guidelines, conduct relevant industry and product research for presentation to management, and prepare portfolio reporting.

Responsibilities

Include but are not limited to

 

Credit Risk Review

  • Review and analyze credit requests submitted by Front Office in all aspects under minimal supervision, including but not limited to limit structure, historic financial performance, assumptions used to prepare base case and stress case financial projections, management, industry, market and economic conditions and third party reports
  • Provide and document recommendations to Front Office credit proposals
  • Articulate credit risk view with respect to the bankability of Front Office requests and their conformity with the Bank’s policies and procedures.
  • Provide comments/recommendations on key terms and conditions, approval conditions, policy exceptions, internal risk rating and post-lending monitoring requirements
  • Assist account officers with loan structuring, loan exposure management and on-site due diligence as needed

 

Portfolio Management

  • Conduct annual and/or quarterly reviews of existing credits as required by Bank policy
  • Monitor industry trends and assess impact of and/or client specific negative news from a portfolio perspective
  • Conduct exception and pipeline management

Knowledge and Learning

  • Develop relevant industry knowledge particularly for assigned portfolio, and expertise in banking products and regulatory requirements
  • Demonstrate initiative to acquire necessary knowledge (industry, products, market conditions, policies and procedures) to perform job function
Qualifications
  • At least 3 years of C&I corporate credit risk and underwriting experience is required for Associate level; At least 4 years of C&I corporate credit risk and underwriting experience is required for AVP level
  • Bachelor’s degree is required, preferably in Finance/Economics/Accounting major; Master’s degree/MBA/CFA is preferred
  • Demonstrate sound financial analysis and modeling skills, understanding of credit risk management and knowledge of C&I industry
  • Bilingual ability in Mandarin is a plus
Pay Range

Actual salary is commensurate with candidate’s relevant years of experience, skillset, education and other qualifications.

USD $42,000.00 - USD $150,000.00 /Yr.

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