- ...onious relationship among its staff members. Description: The successful candidate will play a key role in supporting the Liquidity Risk and Interest Rate Risk Management functions. Responsibilities include day-to-day risk monitoring and reporting for the Bank’s p...
- ...Job No.: 499608 Employment Type: Full time Departments: Risk Management Department Job Functions: Risk Management We ar... ...risk analytical models to measure and monitor interest rate and liquidity risk. Responsibilities: Manage the daily risk monitori...
- Responsibilities Update, maintain and review market risk and liquidity risk policies. Work closely with Finance, Treasury and other relevant departments to manage market risk and liquidity risk issues. Monitor bank’s market and liquidity risk levels to fulfil ...
- ...r investments team, you will be exposed to the full investment lifecycle from a trade's conception to implementation and booking, to risk-management and reporting. You will participate in daily discussions of portfolio and markets, and will be conducting ad-hoc research...
- ...bout the Role Oversees the identification, quantification, mitigation, monitoring and reporting of financial risks including insurance, expense, liquidity, market, and tax risks through close collaboration with the key 1st stakeholders. Provides assurance to the sen...
- Description We are seeking a seasoned risk management professional to join our growing multi-strategy cryptocurrency hedge fund.... ...esign and implement risk management frameworks covering market, liquidity, counterparty, and operational risks. Lead the strategic d...
- ...esponsibilities As a second line of defence, the Head of Risk, Hong Kong is responsible to plan, develop and direct the imple... ...otential risks in different risk aspects including market risk, liquidity risk, credit risk, and non-financial risk. Perform any oth...
- ...y seeking a high caliber professional to join our department as Liquidity – Collateral Business Analyst. Principal responsibilities L... ...g of secured loans transactions including loan characteristics, risk measures, borrower information and the underlying collateral. ...
- My client is expanding our in-business Risk and Reporting control function to support the growth of our high-frequency, algorith... ...ime Conduct VaR, stress testing , scenario analysis, and liquidity risk reviews Draft and maintain risk frameworks for new ...
- The Liquidity Collateral Business Analyst will focus on supporting collateral management and liquidity analysis within the Banking & Financial Services department in a well-established bank. Client Details The Liquidity Collateral Business Analyst will focus on su...
- Responsibilities Be a team member of Capital Markets and Liquidity Management Department Execute and monitor the operation in liqu... ...es and operations related to liquidity management Understand risk limits set by legal regulatory vehicles and banks Excellent ...
- ...ob Responsibilities: Develop, monitor, and regularly report risk indicators and limits to ensure alignment with defined thresho... ...evels. Track daily margin limit utilization. Prepare for liquidation in cases of margin deficits. Support the evaluation of risk...
- ...vered by BBVA’s Hong Kong branch in coordination with the Global client managers to identify opportunities and offer all types of liquidity products, such as Time Deposits, Puttable Deposits, CDs, etc. ● Engaging in sales efforts by providing necessary product supp...
- ..., ideas, inspiration and innovation for deeper, more diverse and liquid global capital markets; providing greater choice and opportunity... ...upport for the prosperity of all." Job Summary: Operations Risk Management Department is primarily responsible for monitoring an...
- ..., ideas, inspiration and innovation for deeper, more diverse and liquid global capital markets; providing greater choice and opportunity... ...strong communication skills to support technology resilience and risk advisory activities across the HKEX Group. The role involves mon...
- ...class listed universal banking group focusing on international expansion and specializing in wealth management. Assess the credit risk of loan portfolio and organize credit review on certain type of customers or industries Prepare reports to senior management on c...
- ...wered by intellectual curiosity, problem solving, and innovation. The successful candidate will be part of our global Trading and Risk team based in Hong Kong. This is an onsite role and the role will report into the Risk Manager based in Hong Kong. Responsibiliti...
- Position Description The role of this position is to be responsible for day-to-day risk management, risk monitoring & reporting for FICC and CSI overall. Key Areas of Responsibilities Manage and monitor the risk of each FICC trading desk appropriately, a...
- To Operational Risk Manager Job Description Monitor and manage the operational risk of business Develop, review and implement operational risk management policies and guidelines in line with regulatory requirements and company practices Identify ...
- ..., ideas, inspiration and innovation for deeper, more diverse and liquid global capital markets; providing greater choice and opportunity... ...be responsible for developing, implementing, and maintaining the risk analytical models to measure and monitor risks across the organi...
- Key Responsibilities Risk Framework & Governance Develop and maintain a comprehensive finance risk management framework and playbook, aligned with COSO ERM principles and Lenovo’s business objectives. Establish clear risk ownership, roles, and responsibilities...
- ...uirements as well as the Group’s standard Monitor the implementation of rectifications and enhancement measures related to credit risk management Review gap analysis in relation to the latest regulatory requirements Provide review and assessment in new product ...
- ..., ideas, inspiration and innovation for deeper, more diverse and liquid global capital markets; providing greater choice and opportunity... ...rosperity of all." Job Summary: Vice President (Operations Risk Management, Operations Division) Job Duties: To manage the...
- ... working environment, good career development opportunities and competitive compensation packages. WPB Credit and Financial Crime Risk Control - Credit Control Services We are currently seeking a high caliber professional to join our department as Manager, Collec...
- ...porate bank in their search for an Assistant Manager in Market Risk , a role pivotal to the bank's strategic initiatives. This pos... ...opment projects focused on market risk, interest rate risk, and liquidity risk for the bank's products and services. Review new prod...
- ...sive range of products to our valued customers. We are currently seeking a high caliber professional to join our team as Business Risk Management Manager, reporting to Head of Business Risk Management. Principal responsibilities: Implement the highest standard ...
- ...focusing to provide services for recruiting candidates, serving multinational and local companies in Greater China region. Credit Risk Manager Dynamic working enviornment / Innovative management teamJob Description Perform credit assessment of our clients Perfo...
- ...ent. At least 10 years of practical experience in developing systems for automated market making, DMA or algo trading group in liquid markets (equities, FX, liquid rates, etc.) using FIX protocol Experience with low-latency messaging middleware pub/sub technol...
- ..., ideas, inspiration and innovation for deeper, more diverse and liquid global capital markets; providing greater choice and opportunity... ...rt for the prosperity of all." Job Summary: The Enterprise Risk Management team sits under Group Risk Management Division as the...
- Job No. : 499597 Employment Type : Full time Departments: Personal Banking Risk And Integrated Management Department Job Functions: Project Management, Risk Management, Policy Administration Position Summary and Objective We are the middle office of fir...