Our client is an established multinational bank.
Responsibilities:
- Oversee market & liquidity risk management and reporting for banking and trading books.
- Lead the team to ensure stable operation in collaboration with Treasury, Finance, and other departments.
- Improve risk management frameworks to meet regulatory requirements and best practices.
- Ensure effective governance through committees, policies, and data management.
- Handle audits by internal and external auditors related to market and liquidity risk.
Requirements:
- Degree holder with at least 10 years of relevant experience in market or liquidity risk management in the banking industry.
- Experience in project management or people management is preferred.
- Good communication and interpersonal skills.
- Fluent in English. Chinese proficiency is preferred.
