Risk Manager

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Risk Manager of ICBC Austria Bank GmbH

Position: Risk Manager
Experience: minimum 3 years
Minimum Qualification:
Bachelor degree in Finance/ Business / Economics;
Minimum 3 years experience in banking field ( Market risk or ALM and Treasury)

Job Description:

  • Maintain and improve liquidity risk limits framework, metrics and models. Establish and execute ILAAP policy within the bank,
  • Establish and review regularly policies, procedures, risk limits and controls of liquidity risk, IRRBB ,FX risk ,Credit spread risk; Maintain respective internal guidelines.
  • Develop, conduct, and analyse liquidity risk and IRRBB stress test models, scenarios; use stress test outcomes to adjust the Bank's relevant risk management strategies, policies, and positions and to develop effective contingency plans.
  • Conduct regulatory reporting , such as reports on LCR, NSFR, IRRBB, etc. Coordinate with IT department regarding automatization of relevant reporting system.
  • Evaluate new products, material transactions on their impact on liquidity profile of the bank
  • Support other ad-hoc tasks of market and liquidity risk management
  • Other tasks or responsibilities accorded by the Department Head.

Skills and Competencies required:

  • Good command of English and German both oral and written, Chinese is an advantage;
  • Familiar with local and international risk management laws and regulation policies;
  • CFA or FRM is an advantage
  • At least 3-5 years in banking (Market risk or ALM and Treasury)

Please send your English CV directly to qiuhua.yang@at.icbc.com.cn

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