senior credit research analyst in Kuala Lumpur

marin kaur, randstad
job type
RM 12,000 - RM 14,000 per month

job details

kuala lumpur, wilayah persekutuan
banking & financial services
job type
working hours
RM 12,000 - RM 14,000 per month
8 years
reference number
marin kaur, randstad
03-2036 7566
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job description

about the company
Client bank is listed on Main Market of Bursa Malaysia Securities Berhad as the 4th largest fully integrated financial services group in the nation, geographically serving Malaysia, Singapore, Thailand, Vietnam, Brunei, Cambodia, Laos, Indonesia and Hong Kong with assets exceeding RM230 billion with approximately 20,000 total employees globally.

about the job
Skilled professionals from the Investment Banking Universe acts as integral asset to the organization to evaluate credit risks of MYR and global credits to formulate views and opinions about the issuer/institution, sector and the economy as well as conduct peer analysis for inclusion into the Buy List for this esteemed opportunity. He/She also forecasts and diversifies the pool of credits for investments in sustenance of portfolio performance and also supervises credit presence especially those with significant credit events and/or issues, and enable and empower engagement with all stakeholders for equitable resolution while ensuring compliance with internal policies and guidelines on credit processes and related matters.

The Investment Banker of Credit Research Analyst carries out the fundamental duties of:

  • Examining credit risks of MYR and global credits to formulate views and opinions about the issuer/company, sector and the economy as well as conduct peer analysis for inclusion into the Buy List.
  • Supervising own credit portfolio for signs of credit migration and/or credit events, and undertake impact assessment following any material announcements / news flow.
  • Participating in all bondholders’ meetings and vote on corporate actions pursuant to impact assessment of resolutions, obtaining approvals from the relevant internal committee(s) and the client (if required) and notification to Portfolio Managers.
  • Involves in investee company events to keep abreast of and to communicate latest corporate developments to Portfolio Managers and clients (if applicable).
  • When required, participates in client meetings with Portfolio Managers and address queries raised on credits in the portfolio and/or in the Buy List.
  • Actively involved in credit-related discussions at Investment & Security Selection Committee meetings.
  • Attending in all credit-related reporting for internal committee(s) and clients.
  • Engaging actively in process improvement projects, and support management directives as needed.

about the team

Successful candidates can expect an attractive and competitive remuneration package based on qualifications and experience together with other benefits alongside with career advancement opportunities which shall commensurate with efforts and contributions.

to apply

To apply online please click the 'Apply' button below. For a confidential discussion about this role, please contact Marin Kaur at 03-2036 7566 or 017-670 1498.


bloomberg, investment banking, asset management, investment portfolio management


no additional qualifications required

educational requirements

Bachelor Degree