Risk Manager (Financial Markets)

BANK OF CHINA LIMITED

Singapore, Singapore
**
Monitor market risk indicators daily
Draft risk and compliance policies
Process regulatory required data reporting
** The Bank of China Limited is seeking a Risk Manager for its Financial Markets division in Singapore. The role involves monitoring market and operational risks, drafting compliance policies, and handling regulatory reporting, requiring 2-3 years of relevant experience and bilingual proficiency in English and Chinese. **

Job Summary

  • The role involves monitoring market and operational risk indicators on a daily basis across the first line of defence.
  • Candidates will be responsible for drafting risk management policies to ensure alignment with bank appetite and regulatory requirements.
  • The position requires effectively bilingual communication in English and Chinese to interact with customers and head office counterparts.

Matching Summary

Match Score: 75

** The Bank of China Limited is seeking a Risk Manager for its Financial Markets division in Singapore. The role involves monitoring market and operational risks, drafting compliance policies, and handling regulatory reporting, requiring 2-3 years of relevant experience and bilingual proficiency in English and Chinese. **

Skills & Requirements

Must-have

  • Monitor market risk indicators daily
  • Draft risk and compliance policies
  • Process regulatory required data reporting
  • Manage internal and external audit matters

Nice-to-have

  • Strong communication and team coordination skills
  • Experience with Financial Markets business
  • Ability to facilitate daily workflow administration

Key Requirements

  • 2-3 years related working experience
  • Familiarity with trading business compliance regulations
  • Bilingual proficiency in English and Chinese

Work Rights

Not specified

Tailored Resume

Cover Letter