Senior Risk Manager (Market & Interest Rate Risk) - Progressive Local Bank
About the Company
Our client is a renowned local bank with strong family-oriented culture. As part of the business strategy, they are currently looking for a Senior Market Risk Manager under their asset & liability team.
About the Role
Reporting into the Head of Department, you will manage a team and oversee the market and interest rate risk management team. You will monitor the risk activities, conduct risks assesment for treasury products / activities and advise senior management team on any key risk matters. Ad hoc projects related to market and interest rate, and systems will be assigned.
To succeed, you will be degree educated in Finance, Risk Management, Statistics or Quantitative Analysis preferably with professional qualification in FRM and CFA. With a minimum of 8+ year' experience in market risk acquired from financial institutions, you will have solid product knowledge on FX, Interest Rate, Equities and other derivatives. Experience in treasury risk systems will also be an advantage. Candidates with a flexible and "can-do" attitude, also team-oriented individual will excel in the role.
Immediately available candidates are preferred and individuals with lesser experience will be considered as Risk Manager.