Senior Manager/Manager, Risk Control (Market Risk)

About Dah Sing Group The Dah Sing Group is a leading financial services group in Hong Kong offering banking, insurance, financial and other related services through its growing network of over 70 branches in Hong Kong, Macau and Mainland China. Our currency is caring, teamwork and progressiveness. We accept that everyone is unique and different in talent, but alike in the capacity for growth. Our task is to shape a culture that creates a sense of pride in achieving something beyond just a job, a

Dah Sing Financial Group - Hong Kong - Full time

Salary: Competitive

About Dah Sing Group
The Dah Sing Group is a leading financial services group in Hong Kong offering banking, insurance, financial and other related services through its growing network of over 70 branches in Hong Kong, Macau and Mainland China.
Our currency is caring, teamwork and progressiveness. We accept that everyone is unique and different in talent, but alike in the capacity for growth. Our task is to shape a culture that creates a sense of pride in achieving something beyond just a job, and an environment where you can be your true and authentic self, like at home.

Job Purpose:
To maintain and manage the sound market risk management framework and practices of the Bank.

Main Responsibilities:
• Measure, monitor and control the market risk as well as treasury and investment risk exposures against approved risk limits and appetite; Maintain proper policies and procedures on market risk management;
• Maintain and develop risk reports for internal risk monitoring as well as regulatory reporting in accordance with the applicable regulatory standards and requirements;
• Perform market risk related stress testing of the Bank including the review of assumptions and methodologies;
• Perform regular and ad hoc risk analysis, simulations and reporting assigned by the Department Head and senior management including the relevant management-level and board-level committees.

Requirements:
• University degree in Finance, Risk Management or equivalent; holder of CFA or FRM an added advantage;
• Over 7 years' experience in the risk management of treasury, asset and liability management or finance related areas in the banking industry;
• Hands-on experience in database management or statistical tools, e.g. SQL, SAS, VBA, etc.;
• Good knowledge in treasury markets, products, regulatory requirements on risk management;
• Good interpersonal skills

Please note that only shortlisted candidates will be notified.

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