Job Description
Responsibilities:
- Formulate risk management framework and work closely with Management, Compliance and relevant stakeholders to define the scope of risk monitoring over the bank’s business activities;
- Assist business teams in conducting risk and control assessment, and ensure all potential risks are properly identified, measured and assessed;
- Provide advisory support to business teams on operational, credit as well as market risk issues and make recommendations on control and risk mitigation measures;
- Conduct sample and quality checking to ensure proper adherence to internal policies and procedures and regulatory compliance;
- Develop and implement quality assurance program to ensure all business activities are conducted in compliance with regulatory requirements and internal control procedures;
- Perform analysis and management reporting on risk and quality control issues;
- Assist in ad hoc risk monitoring and business improvement projects.
Requirements:
- Degree holder with minimum 8 years’ relevant experience in risk management, internal control and/or audit functions covering deposit, credit and operations areas in banking environment;
- Certified Financial Risk Manager, Certified Public Accountant, Certified Internal Auditor, Certified Financial Services Auditor or other relevant certifications is an advantage;
- Sound knowledge of various risk and control assessment techniques and their applications;
- Good understanding of the commercial banking business and operations;
- Good team player with strong communication and analytical skills;
- Proficient in English and Chinese.