Job Title

Bank Risk Manager (Market and Interest Rate Risk)

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Job Description

Responsibilities:

  • Perform market risk and interest rate risk analysis
  • Monitor and report for trading book and booking book
  • Conduct market and interest rate risk stress testing and internal model back testing
  • Prepare risk reports for management
  • Participate in market risk and interest rate risk system enhancement projects

 

Requirements:

  • University graduate or post-graduate in Risk Management, Statistics, Quantitative Finance or related disciplines
  • Minimum of 2 years’ experience in the banking industry or financial institutions
  • Good understanding of the nature and exposure of financial products
  • Sound knowledge of SQL, VBA or related analytic tools

 

Candidates with more working experience will be considered for the position “Senior Risk Manager”


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Interested parties please send your detail resume in MS WORD format with current and expected salary through APPLY FOR THIS JOB.

All data collected will be used for recruitment purpose only & will be used strictly confidential.
Only shortlisted candidates will be notified.

Required: Banking / Finance
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Application

Bank Risk Manager (Market and Interest Rate Risk) (ID: 2758)

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