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If you are looking to excel and make a difference, take a closer look at us…
This role is responsible for the overall risk management of the Branch. We are looking for an experienced risk professional to join the team.
Responsibilities
Develop, evaluate and oversee risk management control frameworks and systems to ensure compliance with laws, regulatory requirements, internal policies and procedures as well as any other regulatory expectations.
Ensure market, liquidity, operational and climate risk controls operate effectively through regular monitoring of risk exposures, risk identification and mitigation for subsequent escalation to Head Office and management of the Branch.
Advise on risk governance related matters and strengthen the Branch’s understanding on risk.
Liaise with Head Office and vendors to perform risk management related system development and / or enhancement.
Perform any ad-hoc projects as assigned.
Requirements
Degree holder in Finance, Risk Management, Statistics, Quantitative Analysis or related discipline.
Professional qualification in FRM and / or CFA would be an advantage.
Professional level of qualification under the Enhanced Competency Framework (ECF) for Banking Practitioners in relevant stream(s) is preferable.
At least 8 years of experience in risk management in the banking industry with a good understanding of equity / FICC products and market risk.
Strong analytical, problem solving, interpersonal and communication skills.
Able to work independently and possess a high level of integrity.
Proficiency in MS Office including Word, Excel and PowerPoint.
Good command of both written and spoken English and Chinese.