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VP, Group Financial Risk Management 

  • Broad Financial Risk Coverage
  • Group Level Role
  • Fast-Expanding Financial Institution

Our client is a fast-expanding Financial Institution with a solid focus in developing the Asia Financial Markets businesses. As part of strategic growth, the group is seeking a high-calibre and all-rounded Financial Risk Management professional to join the Group Financial Risk Management function, based in Hong Kong.

The key responsibilities for this position are as follows:

  • Assist the Group Financial Risk Management Leader in performing and developing technical financial risk analysis and reporting for the Group.
  • Draft and produce detailed technical financial risk reports and papers encompassing all financial risk domains and topics (market risk, credit risk, liquidity risk etc.) for various risk and investment committees, board meetings and senior management discussions and periodic meetings.
  • Identify and develop key financial risks categories and measures.
  • Develop risk scenario analysis on key risks and establish risk appetite for each scenario.
  • Ongoing monitoring and analysis on macro market movement and relevant risk impacts to the business and develop early warnings and mitigation responses.
  • Work closely with the Group Enterprise Risk Management team in developing and integrating the financial risk scoring system and reporting into the wider group risk management framework.
  • Assist on ad-hoc requests and group projects and new products from the financial risk management perspectives.
  • Promote risk awareness and best practices across the local and regional teams.

Successful applicants will have the following skills and experience:

  • Degree qualified ideally with professional qualifications in risk management or a relevant master degree.
  • Minimum 12 – 15 years relevant experience in financial risk management, quantitative risk management, risk analysis gained from a financial institution or Big 4 risk practices.
  • Excellent writing skills, strong analytical and risk modelling skills.
  • Experience in drafting risk reports / papers would be highly beneficial.
  • Broad understanding of market, credit and liquidity risk models and principles.
  • Experience of regulations and best practices applicable to the financial services sector, financial markets activities.
  • Excellent communication skills with fluency in English.

Information provided is for recruitment purposes only.

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