Assistant Global Risk Analytics Manager
5 months ago
Some careers have more impact than others.
If you’re looking for a career where you can make a real impression, join HSBC and discover how valued you’ll be. Whether you want a career that could take you to the top, or simply take you in an exciting new direction, HSBC offers opportunities, support and rewards that will take you further.
Global Trade and Receivables Finance comprises over 4,500 people across more than 60 countries, helping suppliers and buyers with their export and import finance needs. Trade is where HSBC began in 1865, when we financed commerce between Europe, North America and Asia.
We are currently seeking a high calibre professional to join our team as an Assistant Global Risk Analytics Manager .
Principal Responsibilities
Facilitation of effective and business-justified credit decision via risk modelling solution development Support lending initiatives, business growth and credit product innovation with GTRF stakeholders Improved measurement of risk-related capital resources Close alignment between the Risk and Business/Support functions in execution of the role Alignment of the regional Analytics to the Global Analytics via a close and collaborative on-going relationship with Group Risk and the Global Head of Global Risk Analytics Lead the analysis, development and coordination with Customer Groups, Product Groups, Group Risk and Regulators on the review and re-development of Wholesale credit models Manage the development and monitoring of risk policies, processes and tools that facilitate risk-based business management Management of research, review, formulation and revision of wholesale credit policies and guidelines from modelling perspective Support the interaction with customer groups and product groups to ensure understanding of credit risk models, policy, and decision making / behaviour to achieve related aims Requirements Degree holder or above in Finance, Mathematics, Risk Management, Statistics, or a related fieldExperience
Have a good understanding of credit decision modelling, particularly within the wholesale environment Experienced in banking industry, including experience in Risk and in a business line (preferably corporate) Prefer to have a hands-on experience in stress testing and Basel modelling and validation Prefer to have experience in Basel and HKMA regulatory capital rules Experienced in supplier chain financing, digital merchant financing, and related trade performance risk management would be a significant add-onSkills
Able to work in a dynamic and multinational culture and cope with high pressure Sound knowledge in statistics and solid analytical skills Strong technical background with excellent communication and project management skills Hands on experience in Python, SAS or any programming language. Experience in using Tableau would be an added advantage Capable to conduct statistical analysis independently Any interest and/or experience in the latest industry development such as an understanding of Artificial Intelligence and Machine Learning techniques would be desirable-
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