Senior Risk Management Manager (Beijing, China)

Responsibilities:

* To design ICBC business risk management system, establish a risk management module, and set up risk control indicators based on the risk management experiences from international banking practices.​ To effectively identify and control risks in the Asset Management business.​
* Use various risk indicators to effectively identify and measure the opportunities and risks in the Asset Management business
* To research and develop the risk analysis and measurement model for asset management products
* To perform analysis on Asset Management Department’s earnings, to evaluate traders’ performance, to control risk and improve profit.​


Qualifications:

* Master degree and above majoring in sciences (finance/​statistics preferred), economics or finance related.​
* 5+​ years risk management experiences in fund or asset management companies.​
* Familiar with international banking asset management business
* Proficient in business risk management modeling, able to utilize various risk control indicators
* Keen market observation and judgment, good performance and no record of misconduct
* Candidates with CFA, FRM certification preferred.​
* High ethical standards, good communication and coordination skills.​
* Strong analytical abilities.​
* Proficient Chinese and English in listening, speaking, reading and writing.​

Source: http://jobview.monster.com

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