Head of Market and Liquidity Risk

Ele Bank Limited

Responsibilities

  • Maintain and review existing market risk, liquidity risk and interest rate risk policies and procedures (P&Ps) and create new P&Ps for these areas if needed.

  • Work closely with Finance, Treasury and Business to measure, monitor and manage market risk, liquidity risk and interest rate risk for the bank.

  • Monitor bank’s risk level to fulfil the requirements of relevant policies and limits (internal and external) in areas of market risk, liquidity risk and interest rate risk.

  • Implement the market risk and liquidity risk stress test programme with regular review on suitability and appropriateness of methodologies, parameters and scenario settings.

  • Prepare market risk, liquidity risk, interest rate risk and counterparty credit risk reports to the regulator, ALCO and senior management.

  • Participate the new product and new business initiatives for market and liquidity risk.

Requirements

  • Minimum 8 years’ experience in the banking industry with relevant experience in market risk and liquidity risk management from banks in Hong Kong.

  • Familiar with HKMA’s regulations and requirements related to market and liquidity risk

  • Familiar with Treasury Management system like TOMS, Summit, MUREX etc or Bloomberg MARS.

  • Degree holder in Accounting, Finance, Risk Management, or related disciplines.

  • Professional qualification in CPA, ACCA, CFA, FRM or equivalent will be an advantage.

  • Knowledge on security business will be an advantage.

  • Self-motivated and willing to work under pressure.

  • Good command of both written and spoken English and Chinese (including Putonghua).

 

More job information
Salary negotiable
Job Function
  • Banking · Financial Service - Risk Management
  • Banking · Financial Service - General · Others
Employment Term
  • Full-time
Education
  • Degree

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