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AVP, Fraud Risk Management

Our international banking client, a leading institution, is seeking a control-oriented professional to join their risk group, focusing on anti-fraud strategies, primarily as they relate to unauthorized trading. This is a fantastic opportunity to join a high profile, newly created team with a complement of top notch risk professionals.   The successful candidate will partner with the front office as well as other areas within the firm to ensure the firm’s fraud risk agenda is implemented and managed effectively. A background spanning trading risk management, internal audit, operational risk Read more […]

May 31, 2013 • Tags: , • Posted in: Financial • No Comments

VP / Director, Business Risk Management, Private Banking

CEO Management OfficeBroad Risk Management RoleAttractive Salary Our client is a leading International Banking Group with an expanding Private Banking arm in Asia.  To support the strategic business growth in Asia, particularly the Greater China region, a newly created opportunity has arisen for an experienced Business Risk Professional to join the Bank in Hong Kong.   Reporting to the Head of CEO Management Office, you will be part of the Business Management Team in the Asia CEO Management Office responsible for overseeing the Business Risk Management, Controls and Framework at First Line Read more […]

May 31, 2013 • Tags: , • Posted in: Financial • No Comments

Head of Risk Management — Fixed Income Fund

This major fixed income fund has an opening for its Head of Risk Management in its NYC office.The fund has municipal, money market, insurance-oriented, and tax efficient portfolios.The successful candidate will perform two functions: 1) oversight of the production of analytical reports and 2) analyses of risk-related issues.  These projects will involve stress testing and scenario analyses of the portfolios, working with ratings agencies, and client meetings to explain the company’s risk management procedures.Regular interaction with portfolio managers and client service executives is a key part Read more […]

May 30, 2013 • Tags: , • Posted in: Financial • No Comments

Information Risk Management

Information Risk Manager London Up to £75,000 per annum + bonus benefits A leading Banking Organisation is currently looking to hire an Information Risk Manager, to join their Group Information Risk Management team. The Group Information Risk Management team provide oversight on the Business Unit Information Risk team, who provide specific solutions to their respective entities. The Information Risk Manager will be working with the Governance, Risk Control team, who oversee and challenge the Business Unit Information Risk Managers, on key risk metrics and provide reports on this for the Read more […]

May 28, 2013 • Tags:  • Posted in: Financial • No Comments

Risk Management

Company Profile:Industrial Securities Co., Ltd (hereinafter referred as “IS”) is a nationwide leading securities company in China, headquartered in Shanghai. In 2011 IS celebrated its 20 years anniversary, one of the very few Chinese securities company with longer history. It is the 5 public listed securities company in Shanghai Stock Exchange with registered capital of 2.2 billion and net capital of 10 billion. IS provides wide-range financial service and consultancy in securities, futures, mutual funds, private equity and cross-border business. Its asset management, research, institutional Read more […]

May 28, 2013 • Tags:  • Posted in: Financial • No Comments

VP/DIRECTOR – CREDIT RISK MANAGEMENT

EFFECTIVE CREDIT RISK MANAGEMENT OF CORPORATES, FINANCIAL INSTITUTIONS AND SOVEREIGNS Hong Kong Highly Competitive Package A well-known global investment bank is seeking an experienced VP/Director level hire for their Credit Risk Management department to proactively manage the credit exposure for the bank and maintain the integrity of the portfolio through sound analysis for for sovereigns, financial institutions, and corporates for the Greater China region. As a VP/Director Credit Risk in the team, manage the credit risk function and ensure credit proposals are in accordance with bank policy and Read more […]

May 27, 2013 • Tags:  • Posted in: Financial • No Comments

Equity Risk Management Analyst – Client Facing

The Role You will be responsible for detailed account planning and consistent commitment across a wide range of clients, being a subject matter expert on all products and methodologies. You will ensure a high level of client experience to improve annual retention rates and be a trusted guide to the client base by creating value through the identification of precise solutions and products for each. This is a high touch role whereby you will act as relationship manager, product demonstrator, user trainer and client experience manager. To this end you will present at client workshops, seminars etc. Read more […]

May 27, 2013 • Tags:  • Posted in: Financial • No Comments

Compliance / Risk Management Executive

 Our Company:Guotai Junan International Holdings Limited (Stock code: 1788) (the “Group”) was established in March 2010. It is a subsidiary of Guotai Junan Securities Company Limited, (“Guotai Junan”). Guotai Junan is one of the largest securities houses operating in the PRC, whilst our Group is operating in Hong Kong.Leveraging on the Group experience in the international capital market and a thorough understanding of the national intelligence of the PRC, we will uphold our service commitment of “Integrity, Client Focus, Expertise, Innovation” and deliver comprehensive and quality securities Read more […]

May 27, 2013 • Tags: , • Posted in: Financial • No Comments

AVP/VP Risk Management (Rates and FX) – New Function

 The new function has been created on the back of the libor scandal, increased regulatory pressure and the handling of this by competitor Investment Banks. The function focuses on looking at rates that are submitted to external bodies and how those rates are validated in the current climate. There will be a great focus on the function so you should expect regular exposure to senior directors and MD’s in the business (Front Office and Finance), you are based on the trading floor and given that you are to be working in a team of 4 reporting in to an MD, you should also expect high accountability Read more […]

May 24, 2013 • Tags:  • Posted in: Financial • No Comments

AVP/VP Risk Management (Rates and FX) – New Function

 The new function has been created on the back of the libor scandal, increased regulatory pressure and the handling of this by competitor Investment Banks. The function focuses on looking at rates that are submitted to external bodies and how those rates are validated in the current climate. There will be a great focus on the function so you should expect regular exposure to senior directors and MD’s in the business (Front Office and Finance), you are based on the trading floor and given that you are to be working in a team of 4 reporting in to an MD, you should also expect high accountability Read more […]

May 24, 2013 • Tags:  • Posted in: Financial • No Comments