Senior Manager/Manager, Market & Liquidity Risk (HK$55K - $75K) (Ref. No.: 26419)
Our client, a Leading Chinese Bank, is looking for high-caliber person to fill the position.
Job Duties
- Responsible for identifying, measuring, monitoring and reporting market risk of the trading activities in the bank
- Perform daily and monthly risk reporting to senior management and committees
- Assist the team head in enhancing Market Risk management framework and related policies to fulfill regulatory requirement and supervision from ALCO, Risk Committee, HKMA and Headquarters
- Collaborate with other support functions across Risk Management, Finance, Treasury & Markets Operations, Legal & Compliance and Information Technology of Hong Kong and overseas in respect to different risk matters
- Take lead to drive efficiency through identifying areas of improvement to simplify work process
Job Requirements
- Degree holder in finance, risk management, engineering, quantitative finance or related disciplines
- Possession of FRM and/or CFA is an added advantage
- 6 -8 years of experience in risk management in the financial services industry with comprehensive knowledge of VaR, Basel III and local regulatory requirement related to market risk and liquidity risk
- Sound knowledge of related regulatory requirements and market practices
- Understanding of Global markets products including derivatives from a risk perspective;
- Analytical minded, attention to details and strong interpersonal skills;
- Fluency in English and Mandarin and solid written skills in English and Chinese are essential
Candidate with less experience can be considered as Manager
- Job No.:
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26419
- Date:
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27/07/2023
- Job Category:
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Banking
- Salary:
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$Neg.
- Qualification:
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Degree
- Apply Email:
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[email protected]
Apply Now