Senior Market Risk Management Manager - Global Risk
HSBC
Application
Details
Posted: 19-Sep-23
Location: Hong Kong,
Type: Full Time
Salary: Open
Internal Number: 20278179
Job description
Some careers grow faster than others.
If you???re looking for a career that will give you plenty of opportunities to develop, join HSBC and your future will be rich with potential. Whether you want a career that could take you to the top, or simply take you in an exciting new direction, HSBC offers opportunities, support and rewards that will take you further.
Global Risk is a thriving and expert risk management function supporting HSBC globally with all aspects of risk management. The team actively manages a varied and dynamic range of risk types, including security, fraud, information security, contingency, geopolitical, operational, credit, pension, insurance, market and reputation risks. All parts of the Global Risk team use their skills, insight and integrity to handle established threats and those they see emerging, acting to protect and enable HSBC to deliver sustainable growth.
We are currently seeking a high calibre professional to join our team as Senior Market Risk Management Manager.
Principal Responsibilities
Market risk management role to work with front office and finance and traded risk control teams to implement adequate risk management coverage, visibility and controls surrounding from all market risk related activities which are either misreported or inappropriate to market conditions. Supports business management in the achievement of budget targets by developing strategies to optimize returns relative to the use of capital and market risk resources. Take part in regulatory change projects
Key responsibility of performing the market risk control and risk management function within Global Banking and Markets. Executing independent Market Risk management and monitoring to support and oversight Front Office activities
Implementation of risk management policies and procedures across MSS including operational risk assessment, mitigation, control and loss reporting related to market risk. Assisting with the roll out of new risk systems, including testing of risk exposures
Promotion of an appropriate control and compliance culture in line with Group objectives with MSS business. Monitoring portfolio???s from a market risk perspective and identifying/escalating issues/trends to senior management and relevant stakeholders
Requirements
5 years+ front office, market risk or trading experience with strong technical knowledge of treasury products and markets
High levels maturity, resilience, sharp negotiation and communication skills. Able to work independently and under pressure
Strong communication and interpersonal skills: Candidate will need the credibility and confidence to quickly resolve unscheduled queries and issues in a timely manner.
Must be able to take ownership of key responsibilities, be a problem solver and above all possess common sense
Quantitative degree or post graduate qualifications with excellent commercial accumen and proven decision making, interpersonal skils (in particular influencing and communication skills)
You???ll achieve more when you join HSBC. http://www.hsbc.com/careers
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Issued by The Hongkong and Shanghai Banking Corporation Limited.