Job Descriptions Develop and implement comprehensive liquidity risk management policies and procedures aligned with regulatory requirements and industry best practices. 2. Lead the liquidity risk management function, including assessing and monitoring liquidity risk exposures, identification and measurement of liquidity risk factors and potential impacts
This role will manage a small team of liquidity risk staff and report directly to the head of market risk. This role will be responsible for liquidity risk management duties. Client Details My client is one of the largest well known
Market & Liquidity Risk M/SM, Large Banks Your new role Lead a team to establish and review the market risk & liquidity risk policies and procedures manuals. Review and develop market & liquidity risk monitoring and stress test reports, as well as ad-hoc
Team Head - Liquidity Risk - Top Tier Chinese Bank Your new company Our client, a well-established Chinese bank, is seeking a skilled and motivated individual to join their team as a Team Head in Liquidity Risk Management. This is
Responsibilities: Assess and monitor liquidity risk exposures and risk metrics on a regular basis, identify and measure liquidity risk factors and potential impacts to the Bank; Conduct regular liquidity stress testing and review the appropriateness of the assumptions to assess the potential
Senior Market Risk and Liquidity, VP Location: Hong Kong Responsibilities: • Maintain and review market risk, liquidity risk and interest rate risk policies. • Work closely with Finance and Treasury to manage market risk, liquidity risk and interest rate risk issues. • Monitor bank’s risk level to
About this role Business Unit Overview: The International Cash Management Group manages a suite of products that includes Prime and Government Money Market and Ultra-Short Duration Mutual funds and Separate Accounts. BlackRock’s cash management style is
Develop and Implement Risk Management Strategies: Develop and implement risk management strategies, policies, and procedures to identify, assess, monitor, and mitigate risks associated with the companys business such as EQD, Delta one, PBS and Fixed income/equity trading and etc.
Company Introduction: We’re home to Asias most dynamic and vibrant capital markets. Connecting capital, ideas, inspiration and innovation for deeper, more diverse and liquid global capital markets; providing greater choice and opportunity for our customers, each
An experienced, strategic, diligent, ambitious, and proactive individual, responsible for managing risk for ferrous product set within group risk appetite and defined risk limits. Junior level position with the ability to work with minimal supervision and also as part
Responsibilities Provide an exceptionally high quality of internal and external client service, developing solid relationships with front office, clients and stakeholders. Financial market transactional processing and timely settlement as per agreed Service Level Agreement’s ensuring deadlines
Investment Trainee Program We look for young talented individuals to join our 2 year investment trainee program. The program is designed to prepare candidates for further advancement in investment teams including fundamental research, systematic investing, and
The Company Our client is an instantly recognizable leading bank in Hong Kong in the global finance industry with a diverse range of financial services and products. The Role The key goal of the project is
You have an understanding of the drivers behind market moving stories and events. Youre a solution-finder, with a real passion for providing exceptional customer service in a fast-paced environment. With a desire to build a career
About the Firm Morgan Stanley (NYSE: MS) is a leading global financial services firm providing a wide range of investment banking, securities, wealth management and investment management services. With offices in 42 countries, the firms employees
Job Title: Associate Consultant Our client are a leading global consultancy which specialise in providing comprehensive advisory services across various business segments, tailored to address complex challenges faced by multinational corporations, financial institutions, and organisations. Our
Perform impact analysis and collaborate with business and support units to formulate and develop internal policies, procedures, and guidelines that comply with regulatory requirements and ethical standards. Advise on the implementation of regulatory requirements and ensure
This role will report directly to the Chief Risk Officer whilst focusing on market risk duties. This role will cover market risk, liquidity risk and interest rate risk policies. Client Details My Client is a well known bank with businesses in retail
The Analytics and Sales program is a unique opportunity to develop a comprehensive understanding of our Bloomberg products and clients in the wider context of the financial markets. Following our comprehensive training program, you will apply
You have an understanding of the drivers behind market moving stories and events. Youre a solution-finder, with a real passion for providing exceptional customer service in a fast-paced environment. With a desire to build a career