Wealth Management-Product Risk Ana/Asso
- Employer
- 华兴资本
- Location
- Hong Kong, Hong Kong
- Salary
- competitive
- Closing date
- Sep 7, 2022
View more
- Job Function
- Risk Management
- Industry Sector
- Finance - General
- Employment Type
- Full Time
- Education
- Bachelors
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Job Description
• Prepare and update risk management policies according to the requirements of SFC on type 9 licensed entities;
• Implement and monitor internal process in reflection of risk management policies;
• Produce and distribute necessary risk reports to concerned parties;
• Perform risk evaluation, which assesses the way the company previously handled risks;
• Make risk-avoiding adjustments to current practice in order to minimize future risks;
• Prepare risk-management budgets;
• Deal with demand analysis, function implementation and daily maintenance of IT systems related to wealth management business.
Qualifications
• Bachelor degree or above from a reputable university, majored in science and engineering will be a plus;
• 3-5 Years working experience in risk management field;
• Professional Risk Management certification such as FRM may be beneficial;
• Adequate knowledge of financial products and strong logical thinking;
• Well rounded in market, credit, operational and liquidity risk management;
• Solid skills on data entry system, MS Office and other tools;
• Proficiency in verbal & written communication in Mandarin and English.
• Prepare and update risk management policies according to the requirements of SFC on type 9 licensed entities;
• Implement and monitor internal process in reflection of risk management policies;
• Produce and distribute necessary risk reports to concerned parties;
• Perform risk evaluation, which assesses the way the company previously handled risks;
• Make risk-avoiding adjustments to current practice in order to minimize future risks;
• Prepare risk-management budgets;
• Deal with demand analysis, function implementation and daily maintenance of IT systems related to wealth management business.
Qualifications
• Bachelor degree or above from a reputable university, majored in science and engineering will be a plus;
• 3-5 Years working experience in risk management field;
• Professional Risk Management certification such as FRM may be beneficial;
• Adequate knowledge of financial products and strong logical thinking;
• Well rounded in market, credit, operational and liquidity risk management;
• Solid skills on data entry system, MS Office and other tools;
• Proficiency in verbal & written communication in Mandarin and English.
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