Risk Manager, Traded Risk Management
- Employer
- Standard Chartered Bank
- Location
- Hong Kong, Hong Kong
- Salary
- Competitive
- Closing date
- Apr 23, 2021
View more
- Job Function
- Risk Management
- Industry Sector
- Finance - General
- Employment Type
- Full Time
- Education
- Bachelors
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About Standard Chartered
We are a leading international bank focused on helping people and companies prosper across Asia, Africa and the Middle East.
To us, good performance is about much more than turning a profit. It's about showing how you embody our valued behaviours - do the right thing, better together and never settle - as well as our brand promise, Here for good.
We're committed to promoting equality in the workplace and creating an inclusive and flexible culture - one where everyone can realise their full potential and make a positive contribution to our organisation. This in turn helps us to provide better support to our broad client base.
The Role Responsibilities
Our Ideal Candidate
Apply now to join the Bank for those with big career ambitions.
To view information on our benefits including our flexible working please visit our career pages . We welcome conversations on flexible working.
We are a leading international bank focused on helping people and companies prosper across Asia, Africa and the Middle East.
To us, good performance is about much more than turning a profit. It's about showing how you embody our valued behaviours - do the right thing, better together and never settle - as well as our brand promise, Here for good.
We're committed to promoting equality in the workplace and creating an inclusive and flexible culture - one where everyone can realise their full potential and make a positive contribution to our organisation. This in turn helps us to provide better support to our broad client base.
The Role Responsibilities
- Assist senior risk officers of Greater China & North Asia (GCNA) Counterparty Credit Risk Management Team in managing counterparty credit risk arising out of trading and dealing in derivatives and funding transactions of different asset classes including Rates & FX, Credit, Equities and Commodity etc.
- Help generating and analyzing portfolio data and reports for the Greater China FM portfolios
- Conduct enterprise and regulatory stress testing for CCR.
- Support GCNA project / regulatory initiatives
- Support monitoring activities to ensure that key control guidelines, risk parameters, credit policies and processes are being followed
- Approve and provide recommendation on structured Financial Markets transactions
Our Ideal Candidate
- 6-7 years risk management experience
- CFA or FRM qualification
- Good understanding on FM products and CCR risk methodology
- Proficiency in English. Mandarin/ written Chinese is a plus
- Team player with good communication skills and quick learner
Apply now to join the Bank for those with big career ambitions.
To view information on our benefits including our flexible working please visit our career pages . We welcome conversations on flexible working.
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