Job Description
- Analyze, evaluate and propose margin loan products suitable to customer needs.
- Manage and propose a portfolio of permitted margin securities in compliance with the provisions of law and in accordance with the Company's risk policy.
- Monitor the customers performance in using margin activities, making timely adjustments to product portfolio / policies to improve operational efficiency and prevent risks.
- Participate in building and updating processes / regulations related to Margin lending activities.
Requirements:
- Bachelor's degree in Business, Finance or related field.
- Having a Master's degree in Economics / Finance / Banking, AND/OR CFA and / or ACCA certificate are preferred
- Minimum 7 years in finance and securities
- Experience in margin management is a plus
- Having securities practicing certificates (financial analysis, fund management)
- English proficiency including written and verbal communication is required