Risk Management jobs in Finance - General

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Found 33 Asia jobs

  • Non-Financial Risk Management Advisory (Manager)

    • Kuala Lumpur, Malaysia
    • Competitive
    • CIMB Malaysia

    As the second line of defence, is responsible to support the implementation and on-going maintenance of an effective and consistent Operational Ris...

  • Risk Developer

    • Hong Kong, Hong Kong
    • Competitive
    • Guotai Junan (Hong Kong) Limited

    Responsibilities: Develop, code, and implement automated enterprise risk models, risk monitoring & reporting tools. Risk management tools including...

  • Senior Risk Analytics Specialist

    • Jeddah, Saudi Arabia
    • Competitive
    • ISDB - Islamic Development Bank

    Key Accountabilities: Financial and Risk Analytics Implement an enterprise risk management solution in the Bank that provides FPPA and Finance Comp...

  • Market Risk Associate/Senior Analyst, Fixed income/Equities

    • Hong Kong, Hong Kong
    • Competitive
    • Huatai Financial Holdings (Hong Kong) Limited

    Responsibilities: Perform day-to-day risk management of FICC and equity positions, analyze large P/L events, VaR movement, ensure limits are well m...

  • Senior Retail Credit Manager

    • Hong Kong, Hong Kong
    • Competitive
    • Bank Of China (Hong Kong) Limited

    Responsibilities Perform quality check to ensure Retail segment loan approval is in compliance with the Bank's credit policies and guidelines....

  • Equities Market Risk Scenarios

    • Mumbai, India
    • Competitive
    • Credit Suisse

    We Offer The central scenarios team within Mumbai Market Risk is responsible for handling the stress testing deliverables (which includes crafting,...

  • Quantitative Risk Developer

    • Mumbai, India
    • Competitive
    • Credit Suisse

    We Offer The Risk division of Credit Suisse is a highly visible, dynamic area of the firm where you can be an integral part of decisions making tha...

  • Model Performance Monitoring

    • Mumbai, India
    • Competitive
    • Credit Suisse

    We Offer This is a Quant role in CCR Methodology, Model Performance Monitoring division with focus on: A challenging role in the newly established ...

  • Market Risk Scenarios-Global Credit Products

    • Mumbai, India
    • Competitive
    • Credit Suisse

    We Offer The central scenarios team within MRM is responsible for handling the stress testing deliverables (which includes crafting, calibration, v...

  • ERC Methodology Framework

    • Mumbai, India
    • Competitive
    • Credit Suisse

    We Offer The ERC Methodology team is part of global Portfolio Risk Department in the Enterprise & Operational Risk Management (EORM) area. This rol...

  • Risk Analyst - Market Risk Analytics (Traded)

    • Kuala Lumpur, Malaysia
    • Competitive
    • OCBC Bank (Malaysia) Berhad

    Responsible for accurate and timely preparation of management dashboards. Perform annual review and alignment of risk policies to Head office; inco...

  • Credit Risk Manager (Ref: OE8014-00-Efin)

    • Hong Kong, Hong Kong
    • Competitive
    • Nanyang Commercial Bank

    Nanyang Commercial Bank Brighten Your Prospect In Trust and Respect Accumulating over 65 years experience on our solid foundation in Hong Kong and ...

  • Senior Officer, IRB Rating System Implementation (Integrated Risk Management Department)

    • Hong Kong, Hong Kong
    • Competitive
    • CMB Wing Lung Bank

    Responsibilities: Communicate with respective frontline departments under Corporate Portfolio to convey the concept of IRB use of rating, including...

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