Senior Manager, Market and Liquidity Risk

Morgan McKinley

Dettagli del lavoro

An established foreign corporate bank is looking for an experience Market and Liquidity Risk Manager to join the team.

Responsibilities
• Manage and report market and liquidity risks for the banking book and trading book.
• Collaborate with Treasury, Finance and Back Office to ensure the stable operation of treasury middle office functions.
• Enhance risk management tools and frameworks to meet regulatory standards and best practice in the market.
• Ensure effective risk governance and policy implementation for ALM, risk assessment, data governance and modeling.
• Manage audits related to market and liquidity risk by internal and external parties.

Requirements
• Degree holder with 8-15 years of relevant experience in Market and Liquidity Risk Management with banks/ consulting firms/ other financial institutions.
• Good knowledge of derivative products.
• Fluent in English and Chinese.

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