Data Governance of Risk Management
- Employer
- 中信建投证券股份有限公司
- Location
- Beijing, China
- Salary
- negotiable
- Closing date
- Mar 24, 2019
View more
- Job Function
- Risk Management
- Industry Sector
- Finance - General
- Employment Type
- Full Time
- Education
- Bachelors
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岗位名称:风险管理数据治理岗
岗位职责:
根据需要,为风险管理部及相关部门提供数据统计、分析报表等支持
负责收集数据分析需求,进行风险相关的数据仓库、数据集市的设计、底层开发、建模以及ETL开发等工作
对日常数据、系统风险指标进行监测、跟踪分析,定期向数据仓库或数据集市系统中进行补充
参与公司数据治理工作
任职资格:
财经专业或数学、计算机专业硕士研究生以上学历,通过FRM/CFA专业资格考试者优先;
具有2年以上境外金融机构风险管理相关工作经验;
具备财经、数学、金融工程、数理统计等基础知识,具备编程能力。
具备良好的文字及语言表达能力、沟通能力;
Position: Data Governance of Risk Management
Responsibility:
Providing data statistics, analysis report and other support for risk management department and some related departments;
Collecting requirements of data analysis, designing data warehouse and data mart related to risk management,incharge of data management tools developing, data modeling and ETL development etc.
Monitoring, tracking and Analyzing daily data and indicators produced by risk management system, supplying related data to warehouse and data mart periodically;
Participating data governance for the entire company .
Qualification:
Master and above degree, major in financial engineering or statistic knowledge or IT background, CFA, FRM certificate preferred;
More than 2 year experience in risk management of overseas financial institutions;
Familiar to all kind of financial derivatives pricing theory and risk quantity measurement methods;
Independent capacity of computer program writing;
Excellent writing and oral expressing skill.
岗位职责:
根据需要,为风险管理部及相关部门提供数据统计、分析报表等支持
负责收集数据分析需求,进行风险相关的数据仓库、数据集市的设计、底层开发、建模以及ETL开发等工作
对日常数据、系统风险指标进行监测、跟踪分析,定期向数据仓库或数据集市系统中进行补充
参与公司数据治理工作
任职资格:
财经专业或数学、计算机专业硕士研究生以上学历,通过FRM/CFA专业资格考试者优先;
具有2年以上境外金融机构风险管理相关工作经验;
具备财经、数学、金融工程、数理统计等基础知识,具备编程能力。
具备良好的文字及语言表达能力、沟通能力;
Position: Data Governance of Risk Management
Responsibility:
Providing data statistics, analysis report and other support for risk management department and some related departments;
Collecting requirements of data analysis, designing data warehouse and data mart related to risk management,incharge of data management tools developing, data modeling and ETL development etc.
Monitoring, tracking and Analyzing daily data and indicators produced by risk management system, supplying related data to warehouse and data mart periodically;
Participating data governance for the entire company .
Qualification:
Master and above degree, major in financial engineering or statistic knowledge or IT background, CFA, FRM certificate preferred;
More than 2 year experience in risk management of overseas financial institutions;
Familiar to all kind of financial derivatives pricing theory and risk quantity measurement methods;
Independent capacity of computer program writing;
Excellent writing and oral expressing skill.
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