Senior Risk Manager, Asset Management - Risk

Senior Risk Manager, Asset Management - Risk

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Job Description

Job Description
The health and safety of our employees and candidates is very important to us. Due to the current situation related to the Novel Coronavirus (2019-nCoV), we're leveraging our digital capabilities to ensure we can continue to recruit top talent at HSBC. As your application progresses, you may be asked to use one of our digital tools to help you through your recruitment journey. If so, one of our Resourcing colleagues will explain how our video-interviewing technology will be used throughout the recruitment process and will be on hand to answer any questions you might have.
Some careers grow faster than others.
If you're looking for a career that will give you plenty of opportunities to develop, join HSBC and your future will be rich with potential. Whether you want a career that could take you to the top, or simply take you in an exciting new direction, HSBC offers opportunities, support and rewards that will take you further.
Global Risk is a thriving and expert risk management function supporting HSBC globally with all aspects of risk management. The team actively manages a varied and dynamic range of risk types, including security, fraud, information security, contingency, geopolitical, operational, credit, pension, insurance, market and reputation risks. All parts of the Global Risk team use their skills, insight and integrity to handle established threats and those they see emerging, acting to protect and enable HSBC to deliver sustainable growth.
We are currently seeking a high calibre professional to join our team as an Senior Risk Manager, Asset Management.
Principal Responsibilities
  • Participate actively and support the Asset Management Risk function of the Hong Kong entity to ensure that all the risks within Asset management Hong Kong are being identified, assessed, monitored and controlled per the local regulation, HSBC Group standards and market best practices to protect the clients, employees, assets and reputation of the company and support the growth of the assets, their profitability and sustainability
  • Directly support the ASP CRO and contribute to put in place the appropriate and sustainable risk oversight with the right level of engagement with the business and the investment management function in a continuous and proactive manner
  • Coverage of Asset classes: Equities, Fixed Income, Multi-Asset, Money Market, Alternative Assets
  • Engage key stakeholders of the company in managing the risk function
  • Be part of different global/regional risk initiatives and global risk transformation projects (processes and solutions) to support Asia Pacific CRO as well as AMG Risk
  • Share new ideas in regards to risk processes, analysis to streamline and develop an agile risk management approach
  • As a product manufacturer expert, independently review and challenge as 2nd line of defence stakeholder to ensure the appropriateness of the product in regards to country distribution, client profiles and business activities to support the wealth management product development. Contribute actively and support the CRO in assessing any new product design and launch. Provide value-added support to the product development and review, RFP activities, Client Due Diligence
  • Manage and assess the impact of Regulatory Changes on the Asia Pacific Asset Management Risk Function. This includes representing the Risk team at relevant project working groups in relation to regulatory/ governance changes
  • Contribute actively to the risk documentation and its review and work closely with the CRO to ensure the implementation of the risk policies
  • Identify emerging risk issues and initiate mitigating actions. Risks include but is not limited to investment risk, counterparty credit risk, operational risk, liquidity risk, information risk, legal and regulatory risk as well as overall reputational risk to the business from any source
  • Graduate degree in Finance or related discipline, professional certification (CFA, CAIA, FRM, PRM, …) is a plus
  • Senior experience in asset management industry, preferably previous and robust experience in investment risk, within an international working environment
  • Solid finance knowledge of financial instruments and their valuations mechanisms
  • General understanding of the local (across Asian countries) and main overseas legal and regulatory frameworks
  • Robust understanding and in-depth knowledge in regards to the management and monitoring of different types of risk: liquidity, market, counterparty, valuation and pricing of instruments
  • Previous experience towards the development of investment risk metrics, methodologies, framework, processes and systems, embedding ESG and Alternative Asset Classes
  • Ability to translate the understanding of regulatory and/or internal principles and policy into more complex actions and risk output
  • Ability to establish credibility, authority and influence with the key and senior stakeholders, while developing engagement and communication with them
  • Ability to multitask and work under pressure, sometimes with tight deadlines, curious, well-organized, analytical and numerical skills, team-player but ability to work independently and take initiatives, oral and written communication skills in English

You'll achieve more when you join HSBC.

HSBC is committed to building a culture where all employees are valued, respected and opinions count. We take pride in providing a workplace that fosters continuous professional development, flexible working and opportunities to grow within an inclusive and diverse environment. Personal data held by the Bank relating to employment applications will be used in accordance with our Privacy Statement, which is available on our website.
Issued by The Hongkong and Shanghai Banking Corporation Limited.

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