Risk Manager - Market Risk Management

Bank of China (Hong Kong) Limited

Job No.: 499154
Employment Type: Full time
Departments: Risk Management Department
Job Functions: Risk Management

Job duties:

  • Participate in the implementation/upgrading and testing of the treasury systems
  • Perform product due diligence and provide quantitative support to the new treasury products
  • Participate in improving market risk models and monitoring the related model risk
  • Prepare market risk reports for senior management

Requirements:

  • Degree holder (Major in Risk Management, Quantitative Finance, Financial Engineering, Statistics, Math or related finance discipline)
  • At least 3 years’ experience in market risk, trading or other related areas
  • Strong knowledge in market risk models and Basel regulatory requirements is preferred
  • Strong analytical mindset, good communication and problem-solving skills
  • Proficiency in written and spoken English and Chinese, fluency in Mandarin is an added advantage
  • Experience with risk management systems (Murex or Risk Manager, etc.) is an added advantage
  • Proficiency in VBA programming or other programming languages
  • Possession of professional qualification of CFA, FRM, or Enhanced Competency Framework on Treasury Management is an added advantage
更多工作資料
薪酬 薪金面議
工種
  • 銀行 ‧ 金融服務 - 風險管理
  • 銀行 ‧ 金融服務 - 一般 · 其他
僱用形式
  • 全職
教育程度
  • 學士

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