head of market risk - corporate & investment bank in Hong Kong

posted
contact
rouella jose landicho, randstad hong kong
job type
permanent
salary
HK$ 1,000,000 - HK$ 1,300,000 per year
apply now

job details

posted
location
hong kong
specialism
banking & financial services
job type
permanent
working hours
Full-Time
salary
HK$ 1,000,000 - HK$ 1,300,000 per year
reference number
91M0133357_1557364559
contact
rouella jose landicho, randstad hong kong
apply now

job description

about the company

Our client is an international Corporate & Investment Bank with the a strong presence in the region.

about the team
You will manage a small team of market risk managers in HK, reporting directly to the CRO, Asia.
about the job
  • Lead market risk and liquidity risk functions in Hong Kong
  • Ensure a robust risk control framework in line with group guidelines is implemented, and the function responds adequately and in a timely manner to all requirements from HQ, regulators and business stakeholders
  • Represent Market Risk and Liquidity Risk in different committees and meetings, e.g. monthly ALCO committees, HK Risk Committee
  • Ensure all policies and procedures are well documented and updated regularly, in accordance with group documentation and relevant regulatory updates
  • Prepare regular presentations to present relevant marker risk and liquidity risk topics
skills & experiences required
  • Bachelor's Degree in risk, finance, mathematics or other relevant technical field
  • At least 8 to 10 years of relevant market risk and/or liquidity risk experience
  • Strong analytical and logical reasoning skills
  • Strong presentation and communications skills in fluent English and Chinese
  • Competent in Bloomberg and Murex for product pricing and risk valuations
  • Good track record in leading a small team - preferred

To apply online, please click on the link below. Alternatively, for a confidential discussion please contact Rouella Landicho on + 852 2232 3479 or email: rouella.landicho@randstad.com.hk

skills

market risk, risk management, 2nd line of defense, rates, fx, fixed income, global markets

qualification

FRM or CFA Qualification - Ideal

responsibilities

Head of Market Risk - Corporate & Investment Bank

educational requirements

Bachelor Degree