A integrated risk management and MIS reporting role to cover firm-wide risk area, including market risk, credit risk, operation risk and risk management for different lines of business.
Coordinate different department / teams to prepare various risk-related reports for company management, stakeholders and regulators.
Conduct analysis on risks enquiries and assist in implementation of major risk projects, to ensure the effectiveness of group-wide risk management
Work with company's data governance team, develop and maintain overall risk data framework, and lead the governance projects in risk data aggregation and reporting area
Assist in group-wide risk consolidation management (including formulation of risk consolidation framework, monitoring risk management status of group subsidiaries, and reporting to Head Office).
Monitor the group's performance on key risk indicators and provide regular reports to senior management and Head Office
Assist in developing group concentration risk management framework, maintain and review concentration risk policies,and implement relevant risk management reporting
Coordinate the team's Robotic Process Automation (RPA) development, risk-job platform maintenance, and monitor the progress of major risk systems
Assist team head in team management, coach junior staff and review their work to ensure quality of risk reporting
Skills & Experience
Bachelor degree or above with knowledge of financial markets and common ETD / OTC financial products. Team player with passion for continuous learning and good sense of risk controls
At least 8 years of working experience in financial institutions. Experience with risk management or project management is preferred
Strong analytical skills with clear and logical mind-sets; able to take initiatives to identify, analyze and solve problems in daily tasks
Good presentation and interpersonal skills, capable of managing risk projects and maintaining effective communications with different stake holders
Proficient in written and verbal English and Mandarin Chinese. Advanced knowledge of Microsoft software including Excel,Word, and PowerPoint
Notes to applicants :
1. Please apply in strict confidence with full resume, academic record, current and expected salaries.
2. The personal data provided will be used for consideration of recruitment only. All personal data of unsuccessful candidate will be destroyed within 24 months.
3. Candidates with Enhanced Competency Framework (ECF) : please state on the CV.
As a leading investment bank in China and Hong Kong region, the investment banking arm of Bank of China, BOC International Holdings Limited ( BOCI ), is now seeking highly motivated, creative and success-oriented professional who would like to pursue the career in our group.