Associate - Risk Management

at  Bank Of China

London, England, United Kingdom -

Start DateExpiry DateSalaryPosted OnExperienceSkillsTelecommuteSponsor Visa
Immediate07 Oct, 2024Not Specified07 Jul, 2024N/AMandarin,It,Risk,Powerpoint,Microsoft Office,Excel,Forex,Communication Skills,FinanceNoNo
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Description:

Financial Markets Middle Office department cooperates with Head Office to conduct market, credit, operational risk monitoring and reporting of London Trading Centre and Global Financial Markets (GFM) in Bank of China (BOC) London Branch and Bank of China (UK) Limited, and other overseas branches to meet the relevant policies and requirements in respect of risk framework establishment and implementation. As an Associate - Risk Management, you will fulfil the risk management responsibility for BOC London Branch, BOC (UK) Limited, and BOC Group’s EMEA branches on behalf of and as part of Head Office Global Markets Risk Management function. This is a full time permanent position.

REQUIREMENTS

  • Degree educated in Finance, Banking or other equivalent
  • Professional qualification in Finance, Risk or Compliance related area
  • Experience preferably in Banking, Accounting or Consulting
  • Knowledge of financial products of Forex or Money Markets is desirable
  • Proficient in Microsoft Office (Word, Excel, PowerPoint)
  • Excellent communication skills
  • Fluency in Mandarin is preferred
    Having a presence in the UK for more than 90 years, Bank of China London Branch has been providing an excellent financial service to the market and maintain its competitive edge as an international bank operated in the UK. It has employees in over 33 countries, and it is one of the most internationalised overseas branch in the Bank of China Group. The Bank values the diversity of its employees and aims to create an inclusive environment where everyone can speak up and enjoy the equal opportunities to grow both personally and professionally

Responsibilities:

  • Support and monitor the market risk, credit risk, operational risk, compliance risk of the Financial Markets business, BOC London Branch, BOC (UK) Limited and European branches
  • Monitor trading book market risk, investment portfolios risk limits. Provide daily and monthly reports. Report any PL or risk indicator issues
  • Collect daily report and monthly report to keep European branches informed of Head Office’s risk management policies and highlight risks; supervise branches by monitoring risk indicator; prepare risk reminder if any breach occurs
  • Support Operational Risk Management (ORM) and compliance related work (e.g. MiFID II, EMIR)
  • Support in monitoring Treasury Business and produce daily/monthly reports
  • Responsible for system management, maintenance, training and support for business processes and risk monitoring


REQUIREMENT SUMMARY

Min:N/AMax:5.0 year(s)

Financial Services

Accounts / Finance / Tax / CS / Audit

Finance

Graduate

Finance banking or other equivalent

Proficient

1

London, United Kingdom