Senior Manager – Liquidity Risk Management

(Ref No. HKJC-155-2223-2018)

Our client is a leading Hong Kong based financial services group listed on The Stock Exchange of Hong Kong, serving the needs of customers throughout Greater China and beyond, with the operation one of the largest branch networks in Hong Kong.  She is dedicated to providing comprehensive corporate banking, personal banking, wealth management, and investment services to its customers in Hong Kong, Mainland China, and other major markets around the world.  She is looking for a Senior Manager – Liquidity Risk Management in Asset & Liability Management Department.

Responsibilities

  • To handle liquidity risk measurement, monitoring and reporting
  • To manage Bank’s balance sheet and control risk of Asset & Liability
  • To support in liquidity risk analysis and take up ad-hoc assignments whenever required

Requirements

  • University graduate or above in Risk Management, Statistics, Finance, Accounting, Quantitative Analysis or related discipline
  • Minimum of 8 years relevant working experience in banking or financial institutions, including at least 5 years of supervisory experience
  • Possess professional qualification in FRM, CPA or CFA is an advantage
  • Sound knowledge of Excel, Macro, VBA, SQL or related analytic tools is preferred
  • Good interpersonal, communication, organization and analytical skills
  • Pro-active, mature, independent with positive working attitude and strong sense of responsibilities
  • Good command of both spoken and written English and Chinese

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