Manager (Risk Reports & Administration)
Responsibilities:
- Consolidate all risk-related reports from different departments and business units, ensuring data accuracy and consistency
- Coordinate activities and reporting for ESG, climate risk and other risk management areas
- Arrange logistics for Risk Committee meetings, responsible for scheduling, preparing agendas, collecting relevant documents, taking minutes and following up on action items etc.
- Conduct market research and assist in data compiling and analysis
- Preform other ad-hoc projects and initiatives
Requirements:
- University degree in Risk Management, Finance or related disciplines
- Holder of related ECF qualifications are preferred, e.g. CRM, GSF or ORM
- Minimum 3 years of risk management experience in banking industry, experience gained from non-bank FIs will also be considered
- Strong organizational skills and attention to detail, with the ability to manage multiple priorities and meet deadlines
- Excellent communication and interpersonal skills, willing to interact with different stakeholders at all levels
- Good command of both spoken and written English and Chinese, including Mandarin
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