Senior Manager, Market and Liquidity Risk

Morgan McKinley

Detalhes sobre a oferta de trabalho

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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