Establish and optimize the risk management system, risk management policies, risk monitoring mechanism, risk identification tool, risk monitoring and reporting system, and design of relevant risk management platforms
Responsible for formulating and optimize policies related to various risk management target, formulating risk standards and evaluation policies, and formulating measures such as risk tolerance and risk limit management
Responsible for cooperating with various projects and market compliance needs, and formulating related risk policies
Assist to sort out the risks of various businesses and to sort out and supervise the company's risk matrix
Formulate and optimize risk management system and operation management, conduct preliminary risk pre-examination and issue risk opinions
Responsible for organizing various approval demands, to support related risk management targets
Assist in the training and supervision of various risk systems, and guide personnel at all levels to participate in and comply with risk management requirements
Job Requirements
Bachelor degree or above, major in finance, law, accounting and economics, FRM/CFA/CPA qualification is preferred
More than 3 years experience in risk policy formulation, and it is preferred to understand the relevant laws, regulations and policies of investment, finance and enterprise management
Have theoretical knowledge of risk research, good information collection ability, logical thinking ability and analytical judgment ability
Good professional ethics, strong ability of business analysis and communication and coordination, rigorous work, meticulous style, clear logical thinking, good at communication, teamwork and strong ability to resist pressure