VP, Risk Management- Sellside

多家中资投行券商,Fintech,RWA平台招募Risk 人才,包括Head of Risk (RWA),Model Risk / Quantitative Risk, Counterparty Risk,FICC Risk,Market Risk, 有相关经验,感兴趣请联系Katherine ***微信号:Katherine_Shiu 欢迎转发与自荐! VP, Risk Management- Sellside (Prefer Market Risk Experience) Implementation of enterprise risk management framework for the company, covering both investment risk and operational risk. Conduct daily risk limit monitoring and reporting to ensure the investment portfolios are operated within the regulatory requirements.

Green Lake Executive Search Co. Limited - Hong Kong - Full time

Salary: competitive

多家中资投行券商,Fintech,RWA平台招募Risk 人才,包括Head of Risk (RWA),Model Risk / Quantitative Risk, Counterparty Risk,FICC Risk,Market Risk, 有相关经验,感兴趣请联系Katherine

***微信号:Katherine_Shiu

欢迎转发与自荐!

VP, Risk Management- Sellside (Prefer Market Risk Experience)

    • Implementation of enterprise risk management framework for the company, covering both investment risk and operational risk.
    • Conduct daily risk limit monitoring and reporting to ensure the investment portfolios are operated within the regulatory requirements.
    • Participate in risk assessment of the portfolios and new business.
    • Participate in risk reporting and maintain a robust risk policy framework.
    • Perform regular review of risk policies and procedures, risk methodologies, and risk reports to make continuing enhancements.
    • Work with Compliance team to ensure all internal risk control policies and business activities procedures are complied with the Hong Kong laws including SFC codes and guidelines.
    • Oversees all activities of the product management are efficiently and effectively executed.
    • Analysis of information and formulations of product solutions and strategies that are presented and refined further up the line.
    • Responsible for developing, defining, and overseeing the products roadmap and managing it as required for the purpose of meeting deliverables for the business.
    • Conducting relevant product research; establishing competitive intelligence and various market analyses.

Requirements:

    • Degree or above holder, preferably in Risk Management, Legal, Business or any other related discipline.
    • Minimum 5 years of relevant experience in financial institution preferably in the capacity of risk related areas.
    • Good knowledge on financial products and investment funds.
    • Excellent communication, problem solving and interpersonal skills.
    • Fluent in spoken and written English, Cantonese and Mandarin.
    • Immediate available is highly preferred

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