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VP / AVP, Operational Risk Management, Global Financial Markets

VP / AVP, Operational Risk Management, Global Financial Markets

DBS BankThe Center, Hong Kong
30+ days ago
Job description

VP / AVP, Operational Risk Management, Global Financial Markets-(2500006H)

Business Function

As a leader in global financial market operations, DBS extends a broad range of capabilities in foreign exchange and derivatives, money market and securities trading, to corporations and financial institutions. DBS trades in a comprehensive product range, including foreign exchange, as well as interest rates and derivatives. Global Financial Markets (GFM) provides total solutions to serve DBS clients' hedging and investment needs with a regional emphasis.We have a strong record in providing innovative wealth management solutions to our individual investors. We are a leader in SGD and regional products with an excellent, customer-driven research capability and with cutting-edge risk management technology and systems.

Responsibilities

  • Implement the Bank's Operational Risk Management Framework and processes to ensure a sound operating environment
  • Develop, maintain, and effectively communicate operational risk documentation (including mandates, policies, standards, and process maps) within the unit
  • Lead and facilitate the Quarterly Business Risk Review with senior stakeholders, highlighting key risk and control issues and trends
  • Track and monitor issues and action plans resulting from risk events, control assessments, KRI reporting, regulatory, and audit exercises
  • Serve as the Complaint Handling Officer (CHO) for GFM, handling and investigating complaints and litigation in collaboration with customer and support units
  • Leverage data analytics and visualization tools to enhance Risk reporting quality
  • Cultivate a strong risk and control awareness culture within GFM

Requirements

  • Bachelor's degree in Banking, Finance, or a related field
  • Minimum of five years of experience in global financial markets, including related business and control processes
  • Strong understanding of treasury products and operational risks within the global financial markets environment
  • Experience with Global Markets businesses in Product Control, Middle Office Operations, or Risk Management is preferred
  • Detail-oriented with a strong focus on compliance and control
  • Ability to balance business needs with risk and control requirements
  • Strong sense of ownership and demonstrated ability to work effectively in a team environment
  • Excellent written and oral communication skills with the ability to interact effectively with individuals at all levels
  • Candidate with less experience will be considered as AVP
  • Apply Now

    We offer a competitive salary and benefits package and the professional advantages of a dynamic environment that supports your development and recognizes your achievements.

    We regret only shortlisted candidates will be notified

    Primary Location

    Hong Kong-The Center

    Risk Management

    Job Posting

    Jun 8, 2025, 1 : 41 : 41 AM

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    Financial Management • The Center, Hong Kong