Khoo Chee Hoe (Jason), CFA, FRM

Khoo Chee Hoe (Jason), CFA, FRM

Senior Executive (Credit Analyst)

location of Khoo Chee Hoe (Jason), CFA, FRMCGC Malaysia

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  • Timeline

  • About me

    VP, Market and Credit Risk

  • Education

    • SMK Kepong Baru

      -
    • University Putra Malaysia

      2008 - 2012
      Food Science and Technology Entrepreneurship/Entrepreneurial Studies 2nd Upper Class
  • Experience

    • Public Bank

      Jan 2013 - Apr 2016
      Senior Executive (Credit Analyst)

      -Analyze and mitigate consumer and company credit application which inclusive of mortgage loan, refinance, trade bills facilities and Overdraft facility. -Skills learned as Credit Analyst inclusive of customer interview, credit searches via RAMCI & CTOS,repayment capacity calculation, financial statements and ratio analysis.

    • AmBank Group

      Apr 2016 - Jan 2017
      Equity Product Manager

      - Analyse and provide commentary on market risk, profitability and business issues.- Monitor the compliance of trading activities within risk limits and policy and ensure allbreaches are investigated, documented, communicated and remedial actions are in place.- Market Risk lead for risk assessment of new equity/equity derivative productdevelopment and product variations for trading instruments.- Foster a mutually respectful/business partner relationship between Group MarketRisk and equity business units/all external Market Risk stakeholders.- Advise management on potential market risks arising from the activities of equitybusiness units.- Provide guidance to Equity Reporting Team on equity reporting task or operationalreadiness requirements. Tunjukkan kurang

    • KWAP Malaysia

      Jan 2018 - Jun 2020
      Senior Credit Risk Analyst

      -Assist to formulate, implement and manage effectively credit risk matters as per Risk Appetite, Credit Risk Policies and Guidelines to ensure that appropriate structures and processes are set in place.-Assist to measure, monitor, analyse and assess credit risk exposures and provide recommendations on potential issues, risk mitigations and controls.-Assist to promote risk awareness culture throughout the organisation specifically in understanding and application of the credit risk management processes.-Assist to implement and monitor credit risk infrastructure,i.e. systems, policies and processes.-Prepare periodic risk reports to the Director RMCD, Senior Management and Board level committees-Other ad hoc task related with department role as assigned by immediate supervisor. Tunjukkan kurang

    • MIDF

      Jul 2020 - Jan 2023
      • Vice President, Credit Risk (IB) & Policy

        Jan 2023 - Jan 2023
      • AVP (Credit Risk)

        Jul 2020 - Jan 2022
    • CGC Malaysia

      Jan 2023 - now
      Head of Market and Credit Risk
  • Licenses & Certifications

    • Certificate in ESG Investing

      CFA Institute
      Jan 2023
      View certificate certificate
    • Chartered Financial Analyst (CFA)

      CFA Institute
      Jan 2016
    • FRM Part1

      Global Association of Risk Professionals (GARP)
      Jan 2020
    • FRM part 2

      Global Association of Risk Professionals (GARP)
      Jan 2022
    • Certified Financial Risk Manager (FRM)

      Global Association of Risk Professionals (GARP)
      Feb 2022
    • Certified Credit Executive (CCE)

      Asian Institute of Chartered Bankers
      Jan 2015