Job Title

Senior Risk Manager (Bank Market, Liquidity and Interest Rate Risk)

  • Position:
  • Salary:
  • Location:
  • Job ID: 03372
Share This Job

Job Description

Responsibilities:

  • Lead the market rate, liquidity risk and interest rate risk management colleagues to perform various risk functions
  • Monitor market, liquidity and interest rate risk activities
  • Conduct market and interest rate risks assessment for bank products especially treasury products
  • Report to Management on market and interest rate risk matters.
  • Lead and participate in system implementation for market and interest rate projects

Requirements:

  • University graduate in Finance, Risk Management, Statistics, Quantitative Analysis or related disciplines
  • In depth knowledge on the nature and exposure of financial / Treasury products in FX, Interest Rate, and Equities etc.
  • Good experience in bank risk systems especially treasury area.
  • Cooperate well with teammates and business partners

 (Candidates with more experience will be considered for the position Deputy Head, Risk)


---

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
Tags:

Join Our Free Newsletter

Subscribe to our FREE Job Market News , Interview Tips & New Featured Openings.

Have a Question?

We are here to help. Email us or call +852 2877 3560
Contact Us
Application

Senior Risk Manager (Bank Market, Liquidity and Interest Rate Risk) (ID: 3372)

No file !Max size: 5mb (pdf,doc,docx,rtf,zip)

Type the characters: