外資系運用会社でのSenior Risk Managerの求人
求人ID:1380422
募集継続中
転職求人情報
職種
Senior Risk Manager
ポジション
Senior Risk Manager
年収イメージ
年収イメージ:〜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
Role Purpose:
Senior Risk Manager at Global Asset Management business is responsible for leading the Asset Management Risk function of the Asset Management business to ensure that all the risks within Asset management Japan are being identified, assessed, monitored and controlled per the local regulation, The Group standards and market best practices to protect the clients, employees, assets and reputation of the company and support the growth of the assets and their profitability.
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.
Senior Risk Manager at Global Asset Management business is responsible for leading the Asset Management Risk function of the Asset Management business to ensure that all the risks within Asset management Japan are being identified, assessed, monitored and controlled per the local regulation, The Group standards and market best practices to protect the clients, employees, assets and reputation of the company and support the growth of the assets and their profitability.
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.
必要スキル
Experience, Skills and Qualifications:
Graduate degree in Finance or related discipline, professional certification (CFA, FRM, PRM, …) is a plus.
Solid finance knowledge of financial instruments and their valuations mechanisms
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: creation and/or development of improved diversified and complete risk metrics, methodologies, framework, processes and systems based on in-depth knowledge and experience
Ability to translate the understanding of regulatory and/or internal principles and policy into more complex actions and output: creation of exposure metrics using or developing a model, development of practical processes and processes, establishing methodology for determining risk exposure limits
Ability to establish credibility, authority and influence with the key stakeholders, while developing engagement and communication with them
Senior experience in asset management industry, preferably in risk and controls functions, within an international work environment
General understanding of the local (across Asian countries) and main overseas legal and regulatory frameworks
Business oriented, forward looking
Language skills: business Japanese, fluent English
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
Graduate degree in Finance or related discipline, professional certification (CFA, FRM, PRM, …) is a plus.
Solid finance knowledge of financial instruments and their valuations mechanisms
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: creation and/or development of improved diversified and complete risk metrics, methodologies, framework, processes and systems based on in-depth knowledge and experience
Ability to translate the understanding of regulatory and/or internal principles and policy into more complex actions and output: creation of exposure metrics using or developing a model, development of practical processes and processes, establishing methodology for determining risk exposure limits
Ability to establish credibility, authority and influence with the key stakeholders, while developing engagement and communication with them
Senior experience in asset management industry, preferably in risk and controls functions, within an international work environment
General understanding of the local (across Asian countries) and main overseas legal and regulatory frameworks
Business oriented, forward looking
Language skills: business Japanese, fluent English
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
就業場所
就業形態
企業名
外資系アセットマネジメント会社
企業概要
外資系アセットマネジメント会社
企業PR
業務カテゴリ
組織カテゴリ
備考
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総合リスク(統合リスク)の求人情報
外資系金融機関の求人情報
銀行の求人情報
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