Job Title

Risk Manager, Strategy and Analytics (Banking Sector)

  • Position:
  • Salary:
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  • Job ID: 03151
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Job Description

Job duties:

  • Perform research and keep abreast of the regulatory requirements and market practices on Basel
  • Conduct data analysis on risk related issues and to support the planning of strategies for the Bank
  • Co-ordinate change requests of credit risk monitoring systems/tools and represent users to participate in requirement, implementation and UAT phases
  • Participate in projects on user’s perspective and liaise with IT and external vendors on system development projects
  • Participate in ad-hoc projects as needed for senior management or regulatory requirement as well

Job requirements:

  • Undergraduate Degree or Master in Quantitative Analysis Statistics, Accounting, Risk Management, Computer Science, Finance, or related disciplines
  • Over 3 years’ practical experience related to risk management, or internal/external audit experience in the banking industry
  • Experience in data processing and knowledge of quantitative analysis techniques and software, e.g. SAS or other statistical tools will be an advantage
  • Knowledge of Basel requirements and other regulatory requirement is a plus
  • Good analytical and problem solving skills and able to work independently

 


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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: Admin & HR
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Risk Manager, Strategy and Analytics (Banking Sector) (ID: 3151)

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