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Robert Half Hong Kong

Model Risk Director (Investment Bank, 65K - 70K)

Robert Half Hong Kong Hong Kong
Mise en ligne il y a 11 heures Au Bureau CDI Negotiable

Model Risk Director (Investment Bank, 65K - 70K)

The Role

Model Risk Governance & Strategy

  • Drive the development, implementation, and continuous enhancement of the Model Risk Management framework across the organization.
  • Establish and maintain model governance policies, ensuring clear separation between model development and independent validation functions.

Model Validation & Technical Assessment

  • Oversee the full lifecycle of independent model validation, focusing on key models such as Market Risk (VaR/ES) and SIMM.
  • Conduct in-depth model reviews, including theoretical validation, benchmarking, replication, and performance analysis.

Regulatory Compliance & Advisory

  • Act as the subject matter expert for model risk in regulatory interactions, keeping abreast of SFC, HKMA, and global regulatory developments (e.g. FRTB, IBOR transition).
  • Ensure all regulatory capital and risk models comply with SFC Financial Resources Rules and relevant standards.

Risk Monitoring & Analytics

  • Develop and implement quantitative tools to monitor model performance, ensuring robustness in calibration, stability, and predictive accuracy.
  • Maintain a comprehensive model inventory and risk rating framework to prioritize validation efforts.

New Product Approval & Business Support

  • Provide governance oversight in the New Product Approval process, ensuring all pricing and risk models are validated before product launch.
  • Evaluate model risks associated with new systems, infrastructure, and product developments.

Reporting & Stakeholder Management

  • Prepare and present model risk reports to senior management, highlighting key risks, validation outcomes, and remediation progress.
  • Collaborate with stakeholders to drive timely resolution of model-related issues and enhance overall risk control.

Your Profile

  • Advanced degree (MSc or PhD) in Quantitative Finance, Mathematics, Physics, or a related discipline.
  • Minimum 8 years of relevant experience in model risk, quantitative analytics, or risk management within investment banks or SFC-licensed firms (5+ years may be considered for VP level).
  • Strong knowledge of OTC derivatives (Equities, Rates, FX, Credit) and their pricing and risk methodologies.
  • Solid understanding of Hong Kong regulatory frameworks (SFC, SFO, FRR).
  • Proven experience in model development or validation (e.g. pricing models, VaR, SIMM, FRTB).
  • Proficiency in programming languages such as Python, C++, VBA, or SQL.
  • Strong communication skills, with fluency in both English and Mandarin.

Apply Today

To apply online (Word attachment only), please click the 'Apply' button. Please note that only short-listed candidates will be contacted.

Reference No. 67010-0013462244

By clicking 'apply', you give your express consent that Robert Half may use your personal information to process your job application and to contact you from time to time for future employment opportunities. For further information on how Robert Half processes your personal information and how to access and correct your information, please read the Robert Half privacy notice: https://www.roberthalf.com/hk/en/privacy. Please do not submit any sensitive personal data to us in your resume (such as government ID numbers, ethnicity, gender, religion, marital status or trade union membership) as we do not collect your sensitive personal data at this time.

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Référence  67010-0013462244
À PROPOS DE CETTE ENTREPRISE
Hong Kong
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Founded in 1948, Robert Half has a long history of connecting opportunities at great companies with highly skilled job seekers. Bolstered by the stren...
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