Job Openings
Risk & Control Manager, Treasury (Financial Markets)
About the job Risk & Control Manager, Treasury (Financial Markets)
Risk & Control Manager, Financial Markets
A fast-growing China-based Bank in Hong Kong is looking for a high-calibre Risk & Control Manager to join her Financia Markets Department.
Responsibilities:
- Perform various types of risk analysis and monitoring for all related transactions in the Department, such as trading & settlement risks for all kinds of products, e.g. Bonds, Swap, Futures, Forward Rate Agreement and Structured Products
- Draft all kinds of risk-related policies & procedures for Treasury Department
- Maintain up-to-date Risk Framework and set up Risk Mechanism to predict risk indicators and prevent potential risk
- Manage the regulatory framework and general regulatory reporting for HKMA
- Provide solutions for all level of risks relating to the Department
Requirements:
- Bachelor degree or above in Economics & Finance or related disciplines
- Minimum 3 to 5 years or above relevant working experience in Treasury and Global Banking
- Familiarized with HKMAs regulatory framework in Treasury and Global Banking
- Good knowledge on Treasury & Structured Products, such as Bonds, Futures, Interest Rate Swap, Forward Rate Agreement, etc.
- Good analytical & quantitative skills with strong data and numerical sense
- Excellent interpersonal and communication skills and a good team player
- Proficient in PC applications such as MS Word, Excel, PowerPoint and Chinese Word Processing
- Excellent command of both spoken and written English and Chinese (Cantonese & Mandarin)
Interested parties please send your resume in word format with current & expected salary and notice period to janice@hkjobc.com. For details, please feel free to contact Janice at 6365 3508.