MARKET RISK MANAGEMENT, HONG KONG - DIRECTOR or above
Our client is an international financial institution with an unparalleled reputation across the Asia Pacific region. With the continued growth of the organization, the need has arisen to recruit high calibers to join them.
This role is primarily responsible for supporting the HK CRO in the oversight of market risk & insurance risk and to enhance the ERM framework. Support the HK CRO to perform review and challenge to all product, reinsurance & investment initiatives. Support in establishing the Enterprise Risk Management framework and global risk policies in Hong Kong. Contribute to the roll out various risk management initiatives, including risk culture, risk appetite in HK. Prepare the company for the upcoming HK Risk Based Capital (RBC), Pillar 2 requirement on ERM. Collaborate with business and functional units in Hong Kong in risk identification, assessment, monitoring and reporting. Support on regular risk reporting. Provide independent review on the risk assessment of major initiatives. Ability to work with technical staff, project managers and management team.
To be considered, you should be a Degree holder with a minimum of 10 years’ experience in actuarial or risk management gained in life insurance companies or banks. Actuarial & finance qualification is required. Experience in Own Risk and Solvency Assessment (ORSA) and Economic Capital is preferred. Excellent proficiency in spoken and written English and Chinese. Team leader, strategic-minded, self-motivated, attention to details and able to work under pressure. Developed financial acumen and business orientation.
Interested applicants should send a detailed resume to Michelle Ho or by fax to (852) 2838 3323 quoting reference 4285.
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