Jobs › Companies › China CITIC Bank International › Assistant General Manager, Market Risk Management

Sobre esta vaga de Assistant General Manager, Market Risk Management na China CITIC Bank International

China CITIC Bank International · Presencial · Hong Kong

Mandatory Reference Checking Scheme (“MRC”) for Hong Kong

The Mandatory Reference Checking Scheme is a framework to facilitate Authorized Institutions (“AIs”) to bilaterally obtain reference information during their recruitment process for certain positions, such that misconduct information in an individual’s previous employments can be provided to AIs to inform their employment decisions.

For information related to MRC Scheme, “Frequently Asked Questions for In Scope Individuals” is published by HKAB/Industry Guidelines (https://www.hkab.org.hk/en/home) or further information will be available upon request, if it is applicable to the position(s) applied.

Country of Location:

China Hong Kong

Job Responsibilities:

  • Be responsible for day-to-day market risk management including control and analytics support.

  • Work closely with business on their daily activities and development of new treasury products and business initiatives.

  • Manage the regular market risk reporting, analysis, stress testing and market risk RWA calculation.

  • Lead the maintenance and regular validation of quantitative models.

  • Lead the review and enhancement of existing market risk management policies and documentations.

  • Prepare management reports to senior management and risk committees for market risk matters.

  • Provide coaching to team members.

Requirements:

  • Degree holder in quantitative finance, risk management, engineering, quantitative or related disciplines.
  • Minimum 8-10 years of relevant experience, with people management experience is preferred.
  • Solid knowledge in market risk management governance and framework including policy enhancement, daily control, limit assessment, limit approval and etc.
  • Sound understanding of features of fixed income, interest rate, FX, treasury and/or associated derivative products.
  • Sound knowledge in statistical, quantitative analysis and derivatives pricing model.
  • Murex system experience is a plus.
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Sobre a China CITIC Bank International

中信銀行(國際)有限公司 中信銀行(國際)有限公司(「信銀國際」)是中信集團境外商業銀行業務主要平台,由中信銀行股份有限公司(「中信銀行」)全資子公司中信國際金融控股有限公司(「中信國金」)持有75% 股份。 中信銀行(國際)業務網絡覆蓋香港(21家零售網點、2家商務理財中心及1家私人銀行中心),以及位於美國、新加坡和中國澳門分行,同時通過全資子公司在中國境內提供銀行服務。 自1922年起,中信銀行(國際)與員工、客戶及夥伴一同成長,跨越一個世紀。未來將繼續以「敏捷 專業 化繁為簡」為願景,堅持「文化為本(Culture)、客戶為尊(Customer)、多方聯動(Collaboration)、科技引領(Cyberspace)」4C核心價值,積極踐行「為客戶謀價值,為員工謀幸福,為股東謀效益,為社會盡責任」的企業使命。 有關中信銀行(國際)的進一步資料,請瀏覽 www.cncbinternational.com 。 China CITIC Bank International Limited China CITIC Bank International Limited (“CNCBI"), a major offshore platform of commercial banking business of the CITIC Group, is 75%-owned by CITIC International Financial Holdings Limited (“CIFH"), which in turn is a wholly-owned subsidiary of Ch

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