We have a current opportunity for a Risk Manager AVP/VP on a permanent basis. The position will be based in Paris. For further information about this position please apply.
Responsibilities
- Ensure a proper oversight of the CIB activities in China from a risk perspective, in order to be aware of and anticipate any risk evolution;
- Ensure a coherent, consistent and global vision of China in terms of activities, risks and challenges;
- Drive the risk anticipation and reporting activities in the company;
- Ensure high quality day-to-day management of all the market, counterparty, operational and liquidity risks of GM;
- Anticipate on events and identify emerging risks;
Requirements
- A robust understanding of the Chinese Securities & Futures industry;
- In-depth knowledge in regards to the management and monitoring of different types of risk: market, credit, counterparty, liquidity and operational risks
- Strong knowledge of valuation and pricing of instruments; creation and/or development of improved diversified and complete risk metrics, methodologies, framework, processes and systems based on in-depth knowledge and experience;
- Knowledge of financial markets (settlement rules and regulations) and how financial instruments are valued;
- Good communicator (oral and written) especially of technical issues to non-specialist;
- Excellent presentation skills;
- Creative problem solving skills, good decision making based on quantitative and qualitative analysis;
- Language skills: Fluent Mandarin & English (oral and written skills);
