Market Risk Manager (Risk Management Department)

BANK OF CHINA LIMITED
  • Job category
    Banking and Finance
  • Job level
    Professional
  • Contract type
    Permanent, Full Time
  • Location
    Central
  • Salary
    S$3000 - S$4500

Job Description

Responsibilities

  • Draft and propose market risk policies and procedures to ensure the market risk monitoring process is in line with bank’s risk appetite and regulatory requirements.
  • Set up and validate standard and rules of market risk measurement on treasury business. Perform periodical monitoring on risk measurement and follow up exceptions or limit breaches.
  • Oversee middle office functions of branch treasury business, conduct periodical and ad-hoc supervisory inspection on business unit.
  • Produce comprehensive middle office supervisory reports on treasury business, including market risk, credit risk and operational risk.
  • Conduct stress testing on trading book as well as treasury investment portfolio.
  • Assist in preparation of regulatory and statutory reports related on treasury business and market risk management.

Requirements

  • Recognized Degree in Accountancy/Commerce/Business/Finance or equivalent.
  • At least 1 to 3 years’ working experience in a financial institution
  • Self-motivated, mature and able to work under minimal supervision.
  • Good communication and interpersonal skills.
  • Effectively bilingual in English and Chinese so as to communicate with Chinese-speaking customers and counterparts in Head Office.

Closing on 16 Dec 2021

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