Job Description: Bank of America is one of the world's largest financial institutions, serving individual consumers, small and middle market businesses and large corporations with a full range of banking, investing, asset management and other financial and risk-management products and services.
The company provides unmatched convenience in the United States, serving more than 59 million consumer and small business relationships with more than 6,100 retail banking offices, nearly 18,700 ATMs and award-winning online banking with nearly 29 million active users. Following the acquisition of Merrill Lynch on January 1, 2009, Bank of America is among the world's leading wealth management companies and is a global leader in corporate and investment banking and trading across a broad range of asset classes serving corporations, governments, institutions and individuals around the world.
Bank of America offers industry-leading support to more than 4 million small business owners through a suite of innovative, easy-to-use online products and services. The company serves clients in more than 150 countries. Bank of America Corporation stock is a component of the Dow Jones Industrial Average and is listed on the New York Stock Exchange.
Primary responsibility is to actively manage the credit aspects for the portfolio of multi-national companies including:
Manage the acceptance process of incoming credit relationships for the portfolio of multi-national companies.
Spreading of financial statements.
Preparation of credit and financial analysis of borrowers and obtain local risk approval.
Preparation, review & negotiation of credit documents and loan agreements.
Perform ongoing portfolio monitoring and identify, escalate & manage emerging risks in the portfolio of clients.
Ensure portfolio of clients is compliant with internal policy and procedures as well as regulatory requirements.
Prepare and participate in internal/external/regulatory audits, reporting, surveys and examinations.
Participate in projects/initiatives to streamline and improve processes.
Has a good command of English and Bahasa Melayu.
Able to interpret and analyze financial statements.
Basic understanding of banking products across Loan, Trade Finance, Transactional Services & Treasury.
Experience with reading / interpreting credit documents and loan agreements.
Strong written and verbal communication skills and ability to build relationships with internal and external stakeholders.
Has an analytical mind and takes a proactive attitude towards problem solving.
Excellent time management skills and the ability to work effectively under pressure.
Bachelor's Degree in Accounting/Finance with 1-2 years' experience in banking and finance and/or track record of relevant experience.
Posting Date: 16/01/2017 Location: MY--Kuala Lumpur