Oliver Wyman - Principal - F&R - Hong Kong
Marsh McLennan
Hong Kong, Hong Kong

About Oliver Wyman

is a global leader in management consulting. With offices in 60 cities across 29 countries, Oliver Wyman combines deep industry knowledge with specialized expertise in strategy, operations, risk management, and organization transformation.

The firm has more than 5,000 professionals around the world who work with clients to optimize their business, improve their operations and risk profile, and accelerate their organizational performance to seize the most attractive opportunities.

Oliver Wyman is a wholly owned subsidiary of NYSE : MMC . Twitter .

Marsh and McLennan is committed to embracing a diverse, inclusive and flexible work environment. We aim to attract and retain the best people regardless of their sex / gender, marital or parental status, ethnic origin, nationality, age, background, disability, sexual orientation, and gender identity.

Visit our website for more details about Oliver Wyman :

Job title : Principal

Department : Finance & Risk

Office / region :

Shanghai / Beijing / Hong Kong

Reports to : Partner

Hours :

Normal Business Hours

Job Overview :

The Finance and Risk practice, part of our Financial Services Group, is seeking an Engagement Manager or a Principal to support our continued expansion, a strategic priority for the firm.

This is an exciting opportunity to be part of a successful team that represents a core competency of the firm. Oliver Wyman’s Finance and Risk practice is the world’s top strategic risk management consultancy, and is engaged to solve the most challenging problems at the largest and most complex global financial institutions.

Furthermore, Oliver Wyman is also looking at the implications of digital on finance and risk management.

Finance and Risk is the largest of our specialized practices within Financial Services and is the cornerstone of Oliver Wyman’s reputation as a leader in finance and risk management.

The following list is a sample of the topics our recent work has focused on, spanning the full spectrum from governance and organization to more detailed technical and regulatory work :

  • Design of finance and risk governance framework and organisational structures
  • Regulatory compliance and dialogue (e.g. Basel 2 / 3, EMIR, Dodd-Frank)
  • Liquidity and funding risk management
  • Strategic balance sheet management and asset / liability risk
  • Articulation of Risk Appetite at Board and ExCo level, and embedding RA into the business
  • Cutting-edge loan-level mortgage analytics and forecasting
  • Asset-backed security valuation and advanced risk modeling
  • Design and implementation of conduct risk management frameworks
  • Counterparty credit risk for large derivative traders
  • Strategic cost management and post-merger integration
  • Operational and non-financial risk measurement and management frameworks
  • Design of risk measurement frameworks such as Economic Capital and VaR
  • Assessment and refinement of risk culture Design of Board and ExCo level Risk reporting
  • Redesigning the strategic planning process
  • Strategic financial resource management initiatives (e.g. balance sheet management, RWA optimization)
  • Recovery and resolution planning
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