
Vp, Market Risk
3 days ago
**Responsibilities**:
- Consolidate market and liquidity risk information of APAC region, support and strengthen both regional and local market and liquidity risk framework such as RAF, EWI, Stress testing; support the review of treasury limits.
- To implement and provide training to staffs in Counterparty Credit Risk Management, a new requirement within RMDAP; especially in the area of collateral management, computation and monitoring.
- Implement business as usual, including preparing meeting materials for department and regional level meetings; coverage includes regulatory & governance matters, new products and business steering in APAC branches/offices and group companies.
- Collaborate with relevant departments of Head Office to efficiently enhance business and risk governance in APAC region
- Support on enforcement of Head office/regional rule and management framework.
**Job Requirements**
- Degree in Banking/Business or equivalent
- Good knowledge of Market Risk Management (trading and banking book), regulatory requirements and industry standards.
- Good understanding of FRTB, IRRBB, ICAAP, stress testing etc
- Proficient in MS office, well versed in data management skills eg VBA; Python, Tableau knowledge will be advantageous
- Proficiency in Japanese is necessary as this role may need to create reports to Japanese Financial Service Agency (where required) and extensive communicationwith Head Office departments is required; including making presentations.
- Knowledge of Japanese Banking Law is an advantage
- Strong verbal and written communication skills in both Japanese and English is required
- Proactive, resourceful and able to think and act strategically and tactfully
- Ability to inspire others; culturally sensitive, good team player
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