Senior Market Risk Manager-Local Markets recruitment

Main Responsibilities:-

•  Oversight and responsibility for the independent management of risk arising from trading in 

   the Local Markets business in Asia, Europe Americas

•  Ensure all material Local Markets traded risks are identified, appropriately quantified and

   managed to approved limits and policy. The traded market risks in the Local Markets 

  business are primarily (but not limited to): Foreign Exchange and Interest Rate risk as well

  as Government bond trading across all jurisdictions (both onshore/deliverable and

  offshore/non-deliverable).

•  Ongoing development and maintenance of risk measurement methodologies, risk limit    

   framework and risk policy for relevant traded market risks.

•  Keeping abreast of regulatory developments in the geographies which the local markets

   business operates in and ensuring senior management are aware of potential impacts to

   the bank.

•  Ensure key risk issues are highlighted to Senior Management and the market risk strategy

  is relevant and appropriate for the business activities.

•  Review and approval for New Products/Product Variations as they relate to the Local Markets

   business from a Market Risk perspective, and overall holistic risk issues prior to papers

   being presented for approval.

•  Develop and manage the team of product managers and analysts responsible for each of

   the abovementioned responsibilities and functions whilst providing appropriate

   opportunities and challenges for career development.

•  Assist the business with meeting its performance, strategic and breakout objectives, by

  ensuring that relevant trading activities are well managed.

•  Foster a strong but independent relationship between Market Risk and the Local Markets

   business.

•  Contribute to the bank's goal of creating a distinctive risk management capability.

•  As a member of the Market Risk senior management team, play an active role in the

  day-to-day operation of the department.

Main requirements:-

•  Ability to communicate market risk concepts to a wide audience

•  Specific experience in market risk management across Asian geographies

•  Highly analytical, problem solving skills,  strong people management skills

•  Influence outcomes at the Divisional and Group Level

•  Sound understanding of financial markets

•  Strong understanding of financial products, pricing and risk analytics

 •  Experience in market risk across geographies outside Asia is advantageous

If you are the person described above who possess the relevant experience and are looking for an outstanding opportunity with a growing organisation, please send your details soonest.  We regret only short-listed candidates will be notified.