工作机会
>
Hong Kong

    Asia Wealth Management, Business Control Unit Risk Manager - Hong Kong, 香港 - Morgan Stanley

    Default job background
    描述
    Asia Wealth Management, Business Control Unit Risk Manager - Vice President

    Job Number:

    Posting Date

    :Apr 19, 2024

    Primary Location

    :Non-Japan Asia-Hong Kong-Hong Kong-Hong Kong

    Job

    :Private BankingEmployment Type:Full TimeJob Level:Vice President Description

    About the Firm

    Morgan Stanley (NYSE: MS) is a leading global financial services firm providing a wide range of investment banking, securities, wealth management and investment management services. With offices in 42 countries, the firm's employees serve clients worldwide including corporations, governments, institutions and individuals. For further information about Morgan Stanley, please visit .

    About the Role

    The Business Control Unit (BCU) Risk Management team operates within the Asia Private Wealth Management business as the first line of defense and is responsible for structuring and implementing the risk management framework.

    Key Responsibilities

    Key Risk responsibilities included in this role are managing the Margin Lending /Credit & Banking Products Risk Management from a 1st line of defense:

  • Proactive monitoring of margin exposure level of client portfolio
  • Following up with Sales team on any margin deficit of client portfolio
  • Monitor market conditions and assess their impact on the PWM portfolio as well as client portfolio, and recommend changes of risk management strategies
  • Perform active and holistic risk review of clients' portfolio, Thematic stress scenarios & exposure review
  • Escalation point for risk related to margin lending and banking
  • Promote awareness of risk management best practices
  • Communicate key risks to senior management and escalate emerging or developing risks in a timely manner
  • Capture and analyze data & advise management in developing effective mitigation steps and controls
  • Ensure standardization and consistency in risk management policies and procedures applicable to Wealth Management and comply with ongoing regulatory requirement
  • Partner with functional groups, including Investment Financing Group, Credit, Legal, Compliance, Operations, Finance, CTB and IT to identify, assess and mitigate business related risks.
  • Participate and define requirements for Margin Lending & Banking projects.
  • Identify and participate in process re-engineering projects to reduce the residual risks of the department and improve efficiency and effectiveness.
  • Manage a team of risk managers
  • Qualifications

    Required skills/Experience:

  • 7+ years of relevant working experience in 1st line of defense Margin Lending and Banking / counterparty risk, or experience in a similar business function
  • Product and Market risk experience
  • Confidence to take ideas forward and to challenge others, where appropriate, with experience in management by influence, facilitating and gaining consensus
  • Ability to work independently in a self-directed way in a collaborative, team-oriented environment
  • Ability to effectively communicate with a wide range of stakeholders and deliver clear risk presentations to senior management
  • Strong organizational skills with an interest in working in a fast-paced environment, often balancing multiple high priority deliverables
  • People management experience
  • Technical skills:

  • Multi-assets Product knowledge including equity, fixed income, FX, funds, listed and OTC derivatives and banking products (deposits and loans)
  • Understanding of risk management techniques, valuations, and tail-risk
  • Strong proficiency with PowerPoint and Excel is required; VBA or other programming skills as well as working knowledge of databases and SQL is advantageous.
  • Strong analytical and problem-solving skills
  • Fluency in English, Cantonese and Mandarin is essential
  • Both CFA / FRM qualification are preferred


  • Bank of China Group Investment Limited Hong Kong, 香港 全职

    1. 针对业务部门提交的对外投资、资产处置、项目管理等报告和方案开展初步审查,并从行业、风险、财务、回报、合规等方面出具初步尽责审查报告/意见或审查意见; · 2. 针对业务部门提交的资产价值评估及股票分析进行审查,并出具初步审查报告; · 3. 协助风险管理组组长进行个别专题调查; · 4. 参与研究、制订各类风险量化模型及资产评估模型,并参与定期维护; · 5. 运用各类风险量化模型对公司业务经营状况开展风险量化管理; · 6. 上级领导交办的其他工作。 · Requirements: · 1. 本科或以上学历,经济金融、财务会计或相关专业; · 2 ...

  • The Bank of East Asia

    Risk Manager

    1周前


    The Bank of East Asia Hong Kong, 香港 全职

    Responsibilities: · This is a role under the Credit Risk Management Department (Special Assets & Monitoring Section) · The incumbent will review the credit control reports submitted by Risk Owners and perform post lending credit monitoring to follow up any exceptions and irregula ...

  • Bank Of China (Hong Kong) Limited

    Risk Manager

    4天前


    Bank Of China (Hong Kong) Limited Hong Kong, 香港 全职

    Job duties: Participate in the implementation/upgrading and testing of the treasury systems · Perform product due diligence and provide quantitative support to the new treasury products · Participate in improving market risk models and monitoring the related model risk · Prepare ...

  • Hong Leong Bank Berhad, Hong Kong Branch

    Manager, Risk

    4天前


    Hong Leong Bank Berhad, Hong Kong Branch Hong Kong, 香港 全职

    If you are looking to excel and make a difference, take a closer look at us... · This role is responsible for the overall risk management of the Branch. We are looking for an experienced risk professional to join the team. · Responsibilities · Develop, evaluate and oversee ris ...

  • Infini Capital Management Limited

    Risk Manager

    1周前


    Infini Capital Management Limited Hong Kong, 香港

    Job Responsibilities · Work closely with existing Risk Team and Portfolio Managers to manage and monitor risk limits for rates, FX, and fixed income asset classes and portfolios · Provide thoughtful guidelines on setting up new trading parameters for rates, FX, and fixed income a ...

  • The Bank of East Asia

    Risk Manager

    1周前


    The Bank of East Asia Hong Kong, 香港 全职

    Responsibilities · Support the Section Head of HKFRS9 & Stress Testing section in planning, designing and operation of expected credit loss ("ECL") models and stress testing, and overseeing and coordinate stress testing for the Bank Group. · Develop, monitor and enhance for the ...

  • The Bank of East Asia

    Risk Manager

    1周前


    The Bank of East Asia Hong Kong, 香港 全职

    Responsibilities · This role will be under the team of Risk Analytics & Governance · Collaborate with different risk functions under the Enterprise Risk Management framework and prepare regular risk management reports to Management Committees and the Board of Directors · Conduct ...

  • The Bank of East Asia

    Risk Manager

    6天前


    The Bank of East Asia Hong Kong, 香港 全职

    Responsibilities · This is a role under the team of Risk Analytics & Governance Department. · Maintain the risk data warehouse of the bank on user's perspective. · Organize and execute BAU Change Request Life cycle of the risk data warehouse. · Handle data assessment requests, p ...

  • Cathay Pacific Airways Limited

    Risk Manager

    1周前


    Cathay Pacific Airways Limited Hong Kong, 香港

    Role Introduction · Reports to: Head of Corporate Risk · Cathay is a strong brand in Hong Kong and around the world and we are proud to have a long history of demonstrating excellence and resilience at the highest levels. We have an ambition to be one of the world's greatest serv ...

  • The Bank of East Asia

    Risk Manager

    5天前


    The Bank of East Asia Hong Kong, 香港 全职

    Responsibilities · This is a role under the Credit Risk Management Department (Special Assets & Monitoring team) · the incumbent will review and analyze the key figures for asset quality (mainly, impairment allowance and relevant key ratios) of the Group · Perform analysis and i ...


  • Bank Of China (Hong Kong) Limited Hong Kong, 香港 全职

    Responsibilities: Perform risk assessment on credit proposals submitted by front line, exercise credit judgment and make credit recommendations · Conduct the assessment on obligors' internal credit rating · Perform pro-active credit monitoring and management on clients as well ...

  • The Bank of East Asia

    Risk Manager

    6天前


    The Bank of East Asia Hong Kong, 香港 全职

    Responsibilities · Review and improve IRB models, including PD/LGD/EAD models, related to corporate, retail and bank exposures · Prepare regular MIS reports for monitoring the performance of IRB models · Coordinate data quality check and rectification with relevant parties to en ...


  • KPMG China Hong Kong, 香港

    KPMG China provides multidisciplinary services from audit and tax to advisory, with a strong focus on serving our clients' needs and their industries. Not only do we have an overriding commitment to provide the highest quality services for our clients, but we also strive to becom ...


  • Hang Seng Bank Limited Hong Kong, 香港 全职

    Job description · A Career with Hang Seng Bank · Hang Seng is committed to service excellence. Our people are our most important asset and play a vital role in our efforts to continually enhance our performance for customers and provide best-in-class products and services. We s ...


  • Bank Of China (Hong Kong) Limited Hong Kong, 香港 全职

    Responsibilities:Formulate and update compliance risk and KYC policies and procedures in light of the latest regulatory requirements and market practices · Provide advice to frontline and other relevant units on compliance risk and KYC related matters · Conduct and improve transa ...

  • Bank Of China (Hong Kong) Limited

    Credit Risk Manager

    4小时前


    Bank Of China (Hong Kong) Limited Hong Kong, 香港 全职

    Responsibilities:Perform risk assessment on credit proposals submitted by front line, exercise credit judgment and make credit recommendations · Perform pro-active credit monitoring and management on clients as well as portfolio levels · Ensure all internal credit policies and pr ...


  • Bank Of China (Hong Kong) Limited Hong Kong, 香港 全职

    Responsibilities:Gather and identify negative news / risk symptoms relating to particular corporate borrowers and other market information which may have risk implication to asset quality of the corporate lending portfolio · Monitor corporate borrowers of elevating risk / overdue ...


  • China CITIC Bank International Limited Hong Kong, 香港 全职

    Key Responsibilities: · Credit Risk Management: Support the analysis and monitoring of credit quality of loan portfolios, and management of non-performing assets · ​ · Credit Analytics: Support the quantitative and statistical analysis of credit modeling and bank-wide stress test ...


  • Bank Of China (Hong Kong) Limited Hong Kong, 香港 全职

    Responsibilities: Review and approve the credit proposals of SME & Mid Cap clients within the delegated approval authority · Perform risk assessments and provide sound recommendations for corporate credit applications · Ensure the credit activities are conducted in accordance ...


  • The Bank of East Asia Hong Kong, 香港 全职

    Position Summary · Responsible for the 2nd line of defense in technology risk related matters under 3 tiers of risk defensive model, to monitor and review the established control mechanisms and resources for execution in Head Office, China, overseas branches and significant subsi ...