(Senior) Financial Risk Manager (Product Control Analysis)

  • Competitive
  • Hong Kong
  • CDI, Plein-temps
  • Bank Of China (Hong Kong) Limited
  • 16 déc. 17 2017-12-16

(Senior) Financial Risk Manager (Product Control Analysis)

This (Senior) Financial Risk Manager in Product Control Division will lead a team focusing on following areas:

  • Compile reports of treasury business to senior management by assembling, summarizing, presenting profit and loss and findings, and making recommendations
  • Track and determine financial status of treasury portfolios by monitoring, comparing, analyzing variances, identifying trends
  • Make recommendation to improve financial status from finance and accounting's perspective
  • Participate in treasury business development or related system enhancement projects
  • Support new product by providing due diligence and setting efficient control framework
  • Identify new regulatory changes affecting treasury product control framework, advice on relevant impact and assist to formulate policy
  • Liaise with other departments to improve analysis quality
  • To handle other ad-hoc tasks as assigned
    Requirements
  • Degree with major in Accounting, Finance, Economics, Quantitative Finance or related disciplines. Possessing professional qualification preferred.
  • At least 6 year of working experience in financial analysis and accounting related to treasury products and derivatives in financial institution. (Relevant experience in S.E. Asia is an advantage)
  • Proficiency in financial instruments & market operations. Knowledge in accounting standards and regulatory requirements related to treasury products preferred.
  • Strong analytical abilities, communication and report writing skills
  • Good time management and independent
  • Strong team player. Supervisory experience is an advantage.
  • Excellent written and oral English and Chinese, Mandarin preferred