| Employer: | Bank of China | Job Ref No: |
N07FIN-FINMANMGRCAP
| Job Title: |
Financial Management Manager (Capital Management)
| Sector: |
Asset Management
| Sub Sector: |
Unspecified
| Risk Type: |
Regulatory/Compliance
| Expertise: |
Quant
|
- Manage the capital of the Group, including the management of Capital Adequacy Ratio, the management of capital base and structure, capital planning and allocation
- Formulate and implement the capital adequacy assessment process
- Study the relevant regulatory capital requirements, promote and implement the various related tasks (include Basel III policy, Quantitative Impact Study (QIS) and risk appetite)
- Propose and implement capital management and capital allocation strategies
- Coordinate stress testing within the Group
- Develop capital management system and related risk measurement models
Requirements:
- Degree or above with major in Accounting, Finance, Business Administration, Risk Management, Economics, Statistics or related discipline
- Professional qualifications in HKICPA, ACCA, CFA, FRM, ACIB, ACIS preferred
- At least 3 years working experience in Banks or Financial institutions, with minimum 2 years specialized in Financial Management / Risk Management / Asset & Liability Management
- Strong report writing skills and analytical power
- Good command of both spoken and written English and Chinese
- Willing to work under pressure with strong self-initiative
- Experience in risk modeling, Basel II implementation and related system implementation is an advantage
| Region/Country: |
Asia / Pacific, China
| City: |
Hong Kong
| Address: | | Post Date: | 05/18/2012 |