大手証券会社におけるグローバルリスクモニタリング業務の求人
求人ID:1271046
募集継続中
転職求人情報
職種
グローバルリスクモニタリング
ポジション
VP
年収イメージ
年収イメージ:1400万円〜1600万円(経験・能力を考慮の上当社規定により決定)
仕事内容
As a member in the Global Risk Monitoring Office (“Office”) in Risk Management Department, the following multiple duties will be assigned with support provided by the team members and from the Office Head:
1. Credit risk monitoring of offshore affiliates (US, UK, Hong Kong and Singapore), analysis of the key global business development from credit risk management perspective and internal reporting on Tokyo Headquarter side
2. Credit review, monitoring and legal agreement negotiation of the counterparties focusing on offshore hedge fund clients booked at the firm’s Japan headquarter; Coordination with Front desk at Tokyo office and other offshore affiliates for transactions with HF customers
3. Credit review and monitoring of a diversified portfolio of counterparties (Global financial institutions, hedge funds etc.) booked at the firm’s offshore security affiliates (mainly UK and Singapore office) focusing on not only the credit profile but also the transactions of security firm business by closely working together with global risk colleagues
4. Evaluate and promote new business/or specific scheme/project initiated either by Japan or offshore security affiliates from credit risk management perspective
(Recruitment Background)
New hiring based on the below.
Strong business needs of on-boarding hedge fund customers using Tokyo book driven by Asia Front desk
Enhanced globalized risk management driven by the enlargement of the firm’s global business
Enlarged cross-border global collaboration from risk management perspective
1. Credit risk monitoring of offshore affiliates (US, UK, Hong Kong and Singapore), analysis of the key global business development from credit risk management perspective and internal reporting on Tokyo Headquarter side
2. Credit review, monitoring and legal agreement negotiation of the counterparties focusing on offshore hedge fund clients booked at the firm’s Japan headquarter; Coordination with Front desk at Tokyo office and other offshore affiliates for transactions with HF customers
3. Credit review and monitoring of a diversified portfolio of counterparties (Global financial institutions, hedge funds etc.) booked at the firm’s offshore security affiliates (mainly UK and Singapore office) focusing on not only the credit profile but also the transactions of security firm business by closely working together with global risk colleagues
4. Evaluate and promote new business/or specific scheme/project initiated either by Japan or offshore security affiliates from credit risk management perspective
(Recruitment Background)
New hiring based on the below.
Strong business needs of on-boarding hedge fund customers using Tokyo book driven by Asia Front desk
Enhanced globalized risk management driven by the enlargement of the firm’s global business
Enlarged cross-border global collaboration from risk management perspective
必要スキル
<Professional Experience>
Direct or relevant experiences below would be highly evaluated
Credit risk management experience in security firms with at least 7 years
Working experience abroad, or global risk management experience, or credit review experience of wide scope institutional client (FI, Funds)
Derivatives and Repo/Stock lending knowledge
<Language Skill/visa>
High end business level English (business level Japanese would be a plus but not mandatorily required)
No limitation to nationality
<Other Skills preferred>
Comprehensive credit risk analysis skill
Good knowledge of financial products especially derivatives
High level communication and coordination capability
Being self-motivated and able to independently execute complex multiple tasks with clear priorities
Data analysis ability preferred due to exposure monitoring and collaboration with other risk functions in the wider global risk group
Direct or relevant experiences below would be highly evaluated
Credit risk management experience in security firms with at least 7 years
Working experience abroad, or global risk management experience, or credit review experience of wide scope institutional client (FI, Funds)
Derivatives and Repo/Stock lending knowledge
<Language Skill/visa>
High end business level English (business level Japanese would be a plus but not mandatorily required)
No limitation to nationality
<Other Skills preferred>
Comprehensive credit risk analysis skill
Good knowledge of financial products especially derivatives
High level communication and coordination capability
Being self-motivated and able to independently execute complex multiple tasks with clear priorities
Data analysis ability preferred due to exposure monitoring and collaboration with other risk functions in the wider global risk group
就業場所
就業形態
正社員または契約社員
企業名
日系大手証券会社
企業概要
日系大手証券会社
企業PR
大手日系証券会社の一角
業務カテゴリ
組織カテゴリ
備考
関連キーワード
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