We are seeking a talented individual to join our team as a Rating and Risk Management Analyst. In this dual role, you will be responsible for conducting thorough risk assessments, assigning ratings to corporate entities whilst aligning with parent guidelines, and providing valuable insights to support the Bank's decision-making process. Job Functions: Rating • Rating Analyst will be focused on assigning ratings to corporate entities and project finance deals. • The Rating Analyst will be dully trained on HB’s internal rating methodology, which is based on S&P’s rating criteria, • Assigning Ratings whilst working closely with senior analysts from the Rating Department. Risk management • Participate in the daily capture, monitor, control and reporting of the Bank’s Risk and ensure approved limits are complied with; • Build, maintain and improve Risk reporting infrastructure and tools; • Prepare business level risk review report; • Prepare input for statutory reporting regarding risk and Liaise with local regulator AMCM, as required, for risk management matters and to stay updated on regulatory changes; Qualifications and experience: • Bachelor’s degree in finance, economics and/or management; • 2 -3 years of experience in similar functions or in audit, M&A or equity/debt research; • Knowledge of accounting concepts used in financial statements, experience in understanding and interpreting financial statements; • General understanding of macroeconomic and industry-specific factors that will influence demand for and supply of the products and services provided by companies operating in the relevant sectors; • Microsoft Excel knowledge in order to facilitate the evaluation of a company’s forecast and of other financial information the company may provide; • Fluency in English; • Fluency in Mandarin would be a strong plus; • Excellent written and verbal communication skills; • Positive attitude, organizational commitment and team oriented; • Ability to work under pressure.