Job Description: * Assess credit counterparty risk of FI customers, both bank and non-bank FIs periodically and ad-hoc * Provide opinion to limit application for FI customers initiated by business units * Proactively participate in giving comments to related proposal on new products/ internal documents * Make periodical reports on FI credit portfolio, counterparties and market, macroeconomic, etc. and ad-hoc reports required by Managers * Develop and enhance FI risk management framework, ensuring the compliance with prevailing law and learning from best practice * Develop FI customer database, enhance working tools
Job Requirements: * Bachelors Degree at least, on banking & finance, investment, international business, etc. * 5-year experience in FI Credit Analyst/Risk management * Experience with Basel II is a plus * Knowledge of Operation of bank and non-bank FIs, Treasury/ Interbank trading, Prevailing law on banking system, Basel II standard * Business understanding * Analytical/ Numeracy skills and an eye for detail * Strategic thinking capability * Good communication and presentation skills * Working under pressure
Job Benefits: * Attractive income, competitive salary and bonus based on performance * Holiday and Tet bonuses (according to the banks policy from time to time) * Preferential loan packages (according to the banks policy from time to time) * Attractive annual leave policy depending on job level * Mandatory insurance in accordance with labor law + VPBank Care insurance for employees (depending on job level and length of service) * Working hours: Monday to Friday & 2 Saturday mornings per month