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Proactive monitoring of credit/industry/regulatory risks of issuers covered Analyze overall credit and financial strength, business continuity, repayment capability, risk tolerance, and regulatory compliance of the credit based on internal Investment Governance Framework Standard (for Life portfolios) or related policies / procedures (non-Life portfolios) to obtain internal credit rating approval or mapping from external credit rating houses based Investment Risk Management Standard from Head of Group Credit Research – Fixed Income or Regional ...
About the Role
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About the Role
Responsible for the analysis and proactive monitoring of overall external credit ratings, financial strength, business continuity, repayment capability, risk tolerance, and regulatory compliance of credits within the investment scope of AIA Financial.Ready to Join Through a Referral?
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