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HSBC Seoul Securities Korea is currently seeking ambitious individual in Risk Management Team as below.
Title: Risk Manager (°úÀå±Þ, Á¤±ÔÁ÷)
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Job Description
1) Perform credit assessments for counterparties
·Analyze counterparties’ profitability, liquidity, investment objective/strategy, risk management, fund managers’ legal/reputation risk, and confirmed compliance issues. The Company’s counterparties include funds, asset managers, banks, brokers and corporations.
·Provide scorecard to derive internal credit rating and set a credit limit prior to trading.
·Propose the required limit based"EN-US" style="color: black">
·Propose annual reviews regarding counterparties’ business and limit facility.
·Provide Risk Manager’s recommendations to credit risk approvers.
2) Undertake primary responsibilities for risk controls and monitoring
·Regularly monitor market-contingent risk exposures for Cash Equity clients.
·Appropriately escalate credit issues including excesses or exceptions to regional office.
·Submit reports for global risk consolidation. Reports include credit limit utilization status, operational risk controls, material issues and market updates.
·Input data into Monthly data Risk Analysis and Management System (RAMS) for securities company governed by FSS.
·Produce Daily credit reports to view the daily trading status, exposures vs limits (to sales, dealer, trader)
3) Member/Secretary of Risk Management Meeting
·Produce committee pack by collation of financial highlights of the Company (NCR, Liquidity Ratio, etc), current/potential risk issues, and exposure by risk types. Communicate with related departments about current/potential risk issues.
·Draft meeting minutes and maintain all the records
4) Overseeing of Market Risk and Operational Risk
·Localize global policies to meet FSS regulations. Policies include Liquidity Risk Management, Market Risk Management, and Operational Risk Management.
·Produce daily position report"EN-US" style="color: black">
Requirements
- Minimum 2 years’ experience in Risk Management with knowledge in banking and market products
- Excellent Communication skills
- Proficiency in spoken and written English
- Strong knowledge of the regulatory requirements
- Excellent interpersonal skills and ability to handle conflict and manage expectations
- Proven business and operational experience with sound knowledge of a wide range of fund/corporate structures.
- Strong analytical skills and problem solving abilities
- Detail-oriented and able to multi-task and work under pressure
- Able to work as a team and independently with minimal supervision
- Proficient PC skills, including Word, Excel and the use of Internet Search Engines
Please send English Resume to jobs@kr.hsbc.com no later than 10 July 2017 if you are interested and meet the requirements delineated above. Resume file should be "Risk_[Name]_[School]".
Please note that interviews shall be conducted on a rolling basis (first-come-first-serve) so we encourage you to apply at the earliest.
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