Responsible for building and optimizing the company's overall risk management system for overseas business, and controlling market risk, credit risk, model risk, operational risk and other risks in overseas business;
Responsible for the construction and optimization of the company's overseas business credit risk, market risk, operational risk management programs and processes;
Assist in the formulation of risk limits for overseas investment business and daily monitoring of risk limits;
Risk analysis and assessment of major economic activities, investment decisions and innovative business of the company's overseas business, and daily risk management of various business;
To submit timely risk reports of overseas business according to the company's requirements, to assist the company in carrying out general stress testing and special stress testing, etc.
Establish an effective risk prevention and response mechanism for the company's overseas business and assist in the risk management of overseas business;
Responsible for other risk management related work arranged by the department.
Master degree or above with major background in finance, finance, engineering, law or engineering;
Over 5 years'experience in market risk management, credit risk management, secondary market investment and financing risk management, project audit and credit management of large financial institutions abroad, and more than 10 years' experience in risk management of large financial institutions at home and abroad.
Familiar with the basic theories, procedures, systems and methods of overseas business market risk and credit risk management;
Good written and linguistic expression and communication skills;
Have some experience in team management;
Priority is given to qualified securities practitioners, CPA, FRM or CFA certificates.