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Market Risk / Liquidity Risk / Quantitative Risk/ ESG Climate Risk / Credit Risk Analytics – Leading International Consultancy

Pure Hong Kong Hong Kong
Mise en ligne il y a 5 jours CDI Negotiable
F
Mise en ligne par
Fabienne Cheng
Recruiter
Our client is a well-known leading International Consultancy firm with presence globally. They are currently expanding their Risk Consulting team and is looking to hire 4-5 new headcounts across Market Risk/ Liquidity Risk/ Credit Risk Analytics/ ESG Climate Risk/ Quantitative Risk experience to join their team based in Hong Kong.

Responsibilities:

  • Manage the execution of Financial Risk Management (FRM) Credit Risk/ Market Risk / Liquidity Risk/ Quantitative Risk/ ESG Climate Risk/ Economic Capital/ Stress Testing/ Risk Modelling & Validation/ Basel IV related engagements with external clients to ensure quality service is delivered
  • Develop and maintain positive and productive client relationships
  • Supervise a growing specialist team and contribute to the career development of team members
  • Maintain up to date knowledge of risk management practices
  • Build and maintain close working relationship internally with stakeholders  

Requirements:

  • Minimum 5 years of experience in Quantitative Credit Risk role/ Market Risk/ Financial Risk management gained from Banking/ Securities/ Buy-side/ Insurance/ Consulting platform
  • (Market Risk) Knowledge of Derivative and Structured Financial Instruments, VaR analysis and related control processes and policy, Financial Instrument valuation and methodologies and P&L attribution, understand Front/ Middle/ Back office operations for trading financial products
  • Solid and hands on Market Risk related Modelling work experience eg. Pricing for Derivatives/ Structural products, Libor Market Model (IMM), Heston models, Local Vol Models. etc 
  • Hands on programming experience for Execution of #2, based on VBA/ C++/ Python/ Matlab etc. SAS, R skills is a plus
  • (Credit Risk) Knowledge in IFRS9 Impairments and Expected Credit Loss Modelling, banking book business processes and risk management processes
  • Basel II related implementation experience  and knowledge preferred, Risk control processes and policy (Credit facility or Portfolio Limits and implementation)
  • Credit Risk Modelling skills, Credit Risk data management experience and Credit Risk model Validation experience are a plus
  • Basel II related implementation and knowledge in advanced approaches for Credit Risk (FIRB and or AIRB) 
  • Exceptional Interpersonal skills with ability to work effectively managing projects/ deliverables
  • Fluent in English, Cantonese and Mandarin is preferred 

Should you wish to have a confidential discussion, please contact Fabienne Cheng at 2520 5073 

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