Head of Portfolio Risk - Bank-wide
|Specialisation:||Banking & Financial Services|
Our client, a leading bank group, is looking for a Head of Portfolio Risk Management to join their high calibre team.
Define, design and implement and risk portfolio management framework in wholesale and retail markets
Assist in the management of fundamental prudential risks of the bank - credit/counterparty, interest rate and market risks
Develop framework for portfolio assessment and understand applicable credit policies
Familiar with using SAS, financial and data analyses
Experience in stress testing, credit governance, BASEL, and model governance
University undergraduate in related discipline
Master's degree preferred
Minimum of 15 years in credit risk management, and experience in financial services industry
Solid technical skills in SAS, Python, SQL etc.
Interested parties, please click "APPLY NOW" or send your application to email@example.com or contact at Elaine CHU at +852 3103 4366