Associate Director, Scorecards & Analytical Services, Greater China (mandarin Speaker)
S&P Global Market Intelligence
Greater China
Not specified; not specified; competitive pyy, ret...
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6+ years credit risk analysis experience
Fluency in mandarin chinese and english
Knowledge of basel iii/iv regulatory frameworks
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S&P Global Market Intelligence is seeking an Associate Director for Scorecards & Analytical Services in Greater China, targeting candidates fluent in Mandarin and English. The role involves driving business growth in credit risk management, engaging with clients, and providing analytical support and training.
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Job Summary
The role involves driving business growth by identifying new opportunities and actively engaging in the sales process across the Greater China region.
Candidates will serve as trusted advisors to top-tier financial institutions, offering technical expertise in credit risk analysis and industry best practices.
All employees are required to work from the office a minimum of 2 days per week and attend at least one in-person interview before an offer is made.
Matching Summary
Match Score: 75
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S&P Global Market Intelligence is seeking an Associate Director for Scorecards & Analytical Services in Greater China, targeting candidates fluent in Mandarin and English. The role involves driving business growth in credit risk management, engaging with clients, and providing analytical support and training.
**
Salary
Not specified; Not specified; Competitive pay, retirement planning, and family-friendly perks mentioned
Skills & Requirements
Must-have
6+ years credit risk analysis experience
Fluency in Mandarin Chinese and English
Knowledge of Basel III/IV regulatory frameworks
Experience with internal rating systems
Client-facing advisory and training skills
Nice-to-have
Proven track record in project management
Thought leadership through white papers
Ability to identify innovation opportunities
Collaborative approach to stakeholder goals
Experience in infrastructure credit risk
Key Requirements
Degree in Finance, Economics, Statistics, or Mathematics
6+ years relevant experience in corporate or infrastructure credit risk
Strong industry knowledge in banking risk management