Counterparty Risk Manager, VP-Director G00342 Deliver effective counterparty risk management solutions for Group business initiatives, including OTC derivatives and synthetic prime brokerage operations, while ensuring seamless coordination across business units and support/control functions. Contribute to the development of counterparty risk measurement methodologies and enhancements to risk management system capabilities. Support the establishment and oversight of OTC derivatives business policies/procedures, along with front office (FO) business support systems. Engage in counterparty exposure limit calibration and monitoring, maintain FO risk data integrity within risk systems, and produce daily risk reporting. Conduct specialized risk/business analytics to facilitate executive decision-making. REQUIREMENTS: Bachelor's degree in Mathematics, Finance, Economics or quantitative discipline (advanced degree preferred); FRM certification strongly favored. Deep expertise in cross-border operations, derivative instruments, and brokerage services. Minimum 5 years' progressive hands-on experience in counterparty credit risk management at leading banking/securities institutions (international banks preferred). Less experienced candidates may be considered for Associate positions. Working knowledge of Basel regulatory standards, particularly CCR capital modeling requirements, will be advantageous. Demonstrated ability to collaborate effectively with senior leadership and cross-functional teams. Advanced programming proficiency (C++, Python). Superior bilingual communication skills in Mandarin and English. Seniority level: Mid-Senior level Employment type: Full-time Job function: Management, Finance, and Analyst Industries: Financial Services, Investment Banking, and Investment Management
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Counterparty Risk Manage,vp-director G00342
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Counterparty Risk Manage,vp-director G00342
Hong Kong, Hong Kong,
Modified March 14, 2025
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