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Assistant Manager-Market Risk (M/F)

Bank of China (Europe) S.A. Luxembourg
Mise en ligne il y a 2 jours CDI €60k - €80k
M
Mise en ligne par
Mengxing Li
Recruteur

As part of Risk Management Department, the Market & Liquidity Risk team is responsible for assessing and monitoring the financial risks such as:
Interest Rate Risk in the Banking Book (IRRBB) and Credit Spread Risk in the Banking Book (CSRBB);
Liquidity Risk (2rd Line of Defence) ;
Market Risk in Trading Book;
Counterparty credit risk;
The team leads also the transversal projects:

Transversal projects such as IC(L)AAP, Pillar III report and Recovery Plan;
Stress testing program;
Climate & Environment risk (to be extended to ESG risk) assessment for the purpose of stress testing and Pillar II capital requirement;
Upcoming CRD VI and CRR III implementation and coordination;
IPU entities coordination and inspection;
The successful candidate will report to the Head of the department and the Director of the Market &Liquidity Risk team.

Qualifications

Profile (Technical Skills):

Master degree in Economics, Banking, Finance or related field, a professional certificate such as FRM or (and) SCR is a plus;
Good knowledge of a programming language is a significant plus (Python, SQL etc.)
Strong understanding of financial instruments and market;
3-year working experience or above

Profile (Soft Skills):

Good knowledge on data analysis;
Proactive attitude and team player;

Your responsibilities within the team will be:

Ensure the role of 2nd line of defence in Bank’s liquidity risk management: Design liquidity risk framework, Evaluate adequacy of liquidity risk indicators, participate to liquidity stress test and liquidity contingency funding plan;
Conduct materiality assessment in liquidity risk;
Prepare Bank’s ILAAP report;
Contribute to IRRBB/CSRBB implementation project within the Bank;
Integration of CR&E risk into liquidity and IRRBB risk framework.

Qualifications

Profile (Technical Skills):

Master degree in Economics, Banking, Finance or related field, a professional certificate such as FRM or (and) SCR is a plus;
Good knowledge of a programming language is a significant plus (Python, SQL etc.)
Strong understanding of financial instruments and market;
3-year working experience or aboveProfile (Soft Skills):

Good knowledge on data analysis;
Proactive attitude and team player;
Fluent in English and Chinese language skill is a plus.

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