Our client, a Leading Bank, is looking for high-caliber person to fill the position.
Responsibilities • Assist the department in carrying out comprehensive risk management work, implement the head office's requirements for comprehensive risk management, and prepare reports;
- Assist in formulating the branch's credit and investment policies;
- Organize and conduct various risk stress tests, summarize and analyze the results, implement improvement measures, and update and maintain the stress test models.
Requirements • Bachelor’s degree or above in Finance, Economics, Business or related discipline.
- At least 3 years of risk management experience gained from banking industry.
- Good understanding of domestic and foreign regulatory agencies for bank risk management.
- Familiar with risk management models, quantitative methods, reporting methods, and policy drafting.
- Candidates with FRM or those with experience working at Big Four are preferred.
- Proficiency in both written and spoken Chinese and English.
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