Risk Manager (Risk Strategy and Analytics)
THE BANK OF EAST ASIA 東亞銀行Hong kongUpdate time: June 12,2020
Job Description
Risk Strategy and Governance Department
Risk Manager (Risk Strategy and Analytics) (Job ID: 2078)
Responsibilities:
- To conduct data analysis on risk related issues and to support the planning of strategy for the Bank
- To perform research and keep abreast of the regulatory requirements and market practices on Basel
- To participate in projects on user’s perspective and liaise with IT and external vendors on system development projects
- To co-ordinate change requests of credit risk monitoring systems/tools and represent users to participate in requirement, implementation and UAT phases
- To participate in ad-hoc projects as needed for senior management or regulatory requirement
Requirements:
- University graduate/post-graduate in Accounting, Risk Management, Computer Science, Statistics, Finance, Quantitative Analysis or related discipline
- Minimum of 4 years’ practical experience related to risk management, or internal/external audit experience in the banking industry
- Experience in massive data processing and knowledge of quantitative analysis techniques and software such as SAS or other statistical tools will be an advantage
- Knowledge of Basel requirements such as BCBS 239 and other regulatory requirement is an advantage
- Good communication, analytical and problem solving skills
- Mature, able to work independently under pressure and cooperate well with teammates
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