Somecareersshinebrighterthanothers.
Subject Matter Expert Initial Margin Model Validation
..
JobResponsibilities:
- Reviewing & understanding the regulatory framework for MRUD IM
- Working with all stakeholders on the End to End delivery of MRUD IM
- Working on developing joint work with Collateral Management
- Working on delivering a high standard Collateral & Risk framework
- RRA (Regulatory Risk Analytics)
- Global/Regional Market Risk Management
- Ensure that deadline set for Collateral & Risk are delivered in a timely manner
- Ensure completeness & accuracy of submitted data
- Assist in the development of strategic tools
- Perform a thorough review of the final data expected to be submitted by Collateral & Risk to downstream users (e.g. Collateral Management Team).
JobRequirements:
- Risk Analyst level
- Pro-active
- Good communication and business writing skills
- Very good mathematical / statistics skills
- Good market risk or/and counterparty risk knowledge
- VBA and SQL mastery (preferable)
- Experience in market/counterparty risk reporting (preferable)
- Previous stress testing experience (preferable)
- Previous product control experience (preferable)
CandidatewithlessrelevantexperienceorskillsmaybeofferedalowerGlobalCareerBandthanstatedabove.
Duetotheurgenthiringneedcandidateswithimmediaterighttoworklocallyandnorelocationneedwillbeprioritized.
YoullachievemorewhenyoujoinHSBC.
.
Somecareersshinebrighterthanothers. Subject Matter Expert Initial Margin Model Validation..JobResponsibilities:Reviewing & understanding the regulatory framework for MRUD IMWorking with all stakeholders on the End to End delivery of MRUD IMWorking on developing joint work with Collateral ManagementW...
Somecareersshinebrighterthanothers.
Subject Matter Expert Initial Margin Model Validation
..
JobResponsibilities:
- Reviewing & understanding the regulatory framework for MRUD IM
- Working with all stakeholders on the End to End delivery of MRUD IM
- Working on developing joint work with Collateral Management
- Working on delivering a high standard Collateral & Risk framework
- RRA (Regulatory Risk Analytics)
- Global/Regional Market Risk Management
- Ensure that deadline set for Collateral & Risk are delivered in a timely manner
- Ensure completeness & accuracy of submitted data
- Assist in the development of strategic tools
- Perform a thorough review of the final data expected to be submitted by Collateral & Risk to downstream users (e.g. Collateral Management Team).
JobRequirements:
- Risk Analyst level
- Pro-active
- Good communication and business writing skills
- Very good mathematical / statistics skills
- Good market risk or/and counterparty risk knowledge
- VBA and SQL mastery (preferable)
- Experience in market/counterparty risk reporting (preferable)
- Previous stress testing experience (preferable)
- Previous product control experience (preferable)
CandidatewithlessrelevantexperienceorskillsmaybeofferedalowerGlobalCareerBandthanstatedabove.
Duetotheurgenthiringneedcandidateswithimmediaterighttoworklocallyandnorelocationneedwillbeprioritized.
YoullachievemorewhenyoujoinHSBC.
.
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