and manuals Conduct daily risk limits monitoring, including market, credit, IM VM, liquidity, operational risks, valuation...Responsibilities Devise the risk management framework, policies and controls such as investment & operational risks...
及優化風險報告工具及分析 Conduct daily risk limit monitoring, including market, credit, liquidity, operational, legal, and compliance risks specific...專注於提供專業的證券交易及場外衍生產品服務,並致力於培育人才及提升營運效能。 Role Summary You will oversee the company’s risk framework for securities trading and OTC...
and competitive in the market. At present, the Bank has over 30 branches and business outlets located in mainland China, Hong Kong... and maintain Artificial Intelligence and Technology Risk Management frameworks, policies and procedures, and ensure alignment...
and competitive in the market. At present, the Bank has over 30 branches and business outlets located in mainland China, Hong Kong... Development & Maintenance: Assist in the drafting, reviewing, and periodic updating of the Bank's credit risk management...
and competitive in the market. At present, the Bank has over 30 branches and business outlets located in mainland China, Hong Kong... and execute operational risk management tools and systems, including Key Risk Indicators (“KRI”), Risk and Control Self-Assessment...
Job Summary This role could be based in Hong Kong and China. This is a role within the Risk function to support... work performed by the Enterprise Risk Management team. Key tasks include ensuring central elements of Hong Kong’s risk...
Job Summary This role could be based in Hong Kong and China. This is a role within the Risk function to support... work performed by the Enterprise Risk Management team. Key tasks include ensuring central elements of Hong Kong’s risk...
and align on credit risk strategies. Familiar with local and group level regulatory requirements and compliance checking... requirements, consistently adheres to internal policy requirements Support drafting or review of credit risk management policy...
fund growth. Monitor risk indicators and market data to detect anomalies before they escalate. Implement rapid response..., and insurance fund performance. Act as the primary escalation point for risk incidents, investigate root causes, and coordinate...
, market risk reporting and stress testing Main Responsibilities: Support the risk analysis/limit monitoring as well..., stress test, VaR, etc.; Configuration and validation of simulation results for market risk, interest rate risk, liquidity...
; Monitor market performance and fundamental changes over names held within the portfolio,sending risk alerts notification... function in a security house,bank or other relevant financial institution; A solid understanding of market risk and credit...
and proper functioning of interest rate risk, liquidity risk, market risk reporting and stress testing Main Responsibilities... results for market risk, interest rate risk, liquidity risk and stress testing (such as market valuation of treasury...
Responsibilities Strategy Ensure effective performance in the fraud risk management function through assisting the Head Fraud Risk... to identify risk areas and suggesting changes of control measures. Process Handle daily fraud risk prevention...
Responsibilities Strategy Ensure effective performance in the fraud risk management function through assisting the Head Fraud Risk... for Fraud Risk Operations Support daily fraud risk prevention and investigations . Communicate with FRSC to ensure services...
). Financial & Insurance Risk Management: Identifying, evaluating, and managing financial risks including market, credit...Core Job Responsibilities Risk Framework Development & Oversight: Developing, maintaining, and monitoring local risk...
). Financial & Insurance Risk Management: Identifying, evaluating, and managing financial risks including market, credit...Core Job Responsibilities Risk Framework Development & Oversight: Developing, maintaining, and monitoring local risk...
and proper functioning of interest rate risk, liquidity risk, market risk reporting and stress testing Main Responsibilities... results for market risk, interest rate risk, liquidity risk and stress testing (such as market valuation of treasury...
-led framework. This is our key strategic project to bring innovation to market participants in trading, clearing and risk... Risk Management System application team. The incumbent will have the opportunity to develop and work with new technology...
and proper functioning of interest rate risk, liquidity risk, market risk reporting and stress testing Main Responsibilities... results for market risk, interest rate risk, liquidity risk and stress testing (such as market valuation of treasury...
, market risk reporting and stress testing Main Responsibilities: Support the risk analysis/limit monitoring as well..., stress test, VaR, etc.; Configuration and validation of simulation results for market risk, interest rate risk, liquidity...