Chief Risk Officer, MSBIC, Vice President/Executive Director, Beijing/Shenzhen/Zhuhai Chief Risk Officer, MSBIC, Vice  …

Morgan Stanley
in Beijing, Beijing Shi, China
Permanent, Full time
Last application, 21 Aug 19
Competitive
Morgan Stanley
in Beijing, Beijing Shi, China
Permanent, Full time
Last application, 21 Aug 19
Competitive
See job description for details


Morgan Stanley Bank International (China) Limited (“MSBIC”) is the wholly-owned commercial banking subsidiary of Morgan Stanley (MS) in China (http://www.morganstanleychina.com/what-we-do/morgan-stanley-bank-international)

Job responsibilities

• MSBIC Chief Risk Officer reporting to MSBIC General Manager and MS China CRO functionally

• Lead the Risk Management Team in MSBIC

• Oversee the Bank’s market risk, credit risk, operational risk and second line for liquidity risk management

• Liaise with the regulators on risk related issues; Ensure the Bank’s risk management complies with the applicable laws, regulations, rules, regulators’ guidance and expectations, as well as the Firm’s/Bank’s policies, procedures, guidelines and process

• Own MSBIC’s risk governance, and the Market, Credit and Operational Risk Management Policies for MSBIC, and oversee the implementation of these policies

• Responsible for setting up and maintaining the Bank’s risk appetite, market and credit risk limit framework, stress testing and capital-related projects including ICAAP, MPA, etc

• Engage with the business and build strong, collaborative relationships with key stakeholders to drive sound risk management processes, quantification and understanding of business risks and insight that support improved business performance

• Report and/or escalate material risk matters to the MSBIC senior management, the relevant governance body according the bank’s risk management policies including MSBIC Risk Committee or MSBIC Board of Directors, as appropriate

• Act as the Market Risk manager for MSBIC, responsible for identifying, measuring, monitoring and managing the market risk for the bank



Qualifications:



Skills Required

• Strong knowledge of credit, market, operational and liquidity risk management with working experience in at least one of the risk management functional areas

• Familiar with regulated legal entity risk governance, risk appetite, stress testing and capital assessment

• Excellent written and verbal communication skills

• Demonstrable track record of working under pressure and managing multiple projects with limited supervision

• Strong leadership

• Bachelors or Master’s degree (preferred) with 7-10 years of work experience in finance/accounting/risk management

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