This is an exciting and varied role , working for a well respected overseas Bank
Summary:
- Risk Controller of non-credit risk functions including but not limited to market risk, interest rate risk, liquidity risk, operation risk and other risks
Position Accountabilities:
Management of non-credit risksERM Functions – Perform the 2nd Line of Defence functions to support the Head of RMD in discharging her duties as the Risk Controller of non-credit risks for the Branch under the ERM framework
Develop specific action plans to address the key risk issues identified.
Risk Management Initiatives – Lead the team in implementing the key initiatives of RMD and as assigned by Head of RMD.
Communication – Assist the Head of RMD in corresponding with the regulators and other parties in relation to the non-credit risk management related issues of the Branch.
Risk Monitoring – Monitor the non-credit risks in accordance with internal guidelines and policies regulatory requirements and market environment for identifying any necessary updating.
Risk Reporting – Regularly report the monitoring results and any significant issues related to non-credit risks
Job Knowledge / skills:
University Graduate or Relevant Professional Qualification
At least 10 / 8 years with 5 / 3 years supervisory experience for Risk Manager / Assistant Risk Manager
High level of analysis skills on non-credit risk functions including but not limited to market risk, interest rate risk, liquidity risk, operation risk and other risks
Computer literate (good knowledge of MS Office suite - Excel, Word, PowerPoint) #4259900