Responsibilities: • Conduct credit analyses on asset managers, hedge funds, insurance companies, and financial institutions, focusing on investment strategy, asset quality, leverage, liquidity, historical performance, portfolio exposures, and risk control frameworks. • Assess derivatives and securities financing transactions across the client base, collaborating closely with derivatives marketers, relationship managers, risk management, the credit department, and legal teams to mitigate risk. • Continuously monitor the credit quality of the assigned portfolio, ensuring the accuracy of risk ratings and promptly reporting any credit quality deterioration to management. • Identify policy exceptions and oversee the monitoring of termination events. • Participate in special projects as needed.