Market Risk Manager, Corporate Bank (HK$50K - $65K) (Ref. No.:
26545)
Our client, a Leading Bank, is looking for high-caliber person to
fill the position.
工作職責
-
Provide support in system building related work, monitor risk
indicators of global markets, branch liquidity risk, and other
related market risks
-
Re-evaluate the market price of treasury related assets, and
ensure the branch market risks within the regulation requirement
-
Perform daily and monthly risk reporting to senior management
and committees
-
Assist to the team head on the revision of existing risk
policies and documentations to ensure compliance with regulatory
and market standard
工作要求
-
University graduate with major in Finance, Economics, Risk
Management or Quantitative discipline
-
Minimum 5 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
-
Candidate with more experience can be considered as Senior
Manager
- 職位編號:
- 26545
- 日期:
- 18/01/2024
- 工作類別:
- 銀行業
- 薪金範圍:
- HK$50K - $65K
- 學歷要求:
- Degree
- 聯絡電郵:
-
[email protected]
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