Assessor Model Risk Governance And Stewardship

hace 3 semanas


Xico, México Hsbc A tiempo completo

Some careers have more impact than others.If you're looking for a career where you can make a real impression, join GSC HSBC and discover how valued you'll be.We are currently seeking an experienced professional to join our team in the role of**Assesor Regional Model Risk Governance & Risk Stewardship****Role purpose**:Model Risk Management (MRM), part of Global Risk & Compliance, is responsible for providing second line of defence for HSBC's model risk.Model Risk Management comprises of five key areas, led by the Chief Model Risk Officer:- Independent Model Review - Independently reviewing and (re)validating models and methodologies across functions and risk types within the bank.- Model Risk Governance - Setting the firm's model risk policies and standards as well as ensuring that model risk is managed within the approved tolerance levels.- Regulatory Standards and Quality Assurance - Providing expertise and partnering to Senior Management for reviewing and decision making, by developing opinions and interpretations of relevant regulatory changes impacting model risk.- Infrastructure - Providing Global Model Inventory System (GMIS) management, maintenance and user engagement, along with report production and technology enhancements.**Main activities**:- Contribute towards independently reviewing and (re)validating models and methodologies across regions, businesses, functions and risk types within the bank, including Retail and Wholesale Credit, Traded Risk, Global Banking & Markets, Financial Vulnerability, Finance, Stress Testing, Wealth, Insurance & Pensions.- Liaising with 1LOD and other model stakeholders as appropriate to ensure documentation is available to support the reviews.- Ensuring that the models and methodologies are assessed against methodological frameworks underpinning the group's risk measurement and management initiatives.- Contribute towards ensuring through independent assessment and validation that the models operate within regulatory boundaries.Requirements**Knowledge & Experience**- Knowledge:_- Knowledge in one or more of the following areas: Stress Testing and Scenario Analysis models, Traded Risk and Pricing Models, Global Markets Trading & Hedging models, Asset Liability Models etc.- Knowledge of statistical model and scorecard development techniques.- Knowledge of Risk models, performance metrics and risks and associated issues.- Knowledge of internal procedures and local regulations and those of other country regulators.- Experience:_- Experience with some statistical modelling software / programming language e.g. SAS, Python, R, Matlab, C++, VBA.- Experience of developing and reviewing models throughout the customer lifecycle is beneficial.- Experience of conducting independent model reviews is beneficial.- Skills:_- Good written and verbal communication skills.- Team-oriented mentality combined with ability to complete tasks independently to a high quality standard.- Qualifications:_Degree in a quantitative discipline like Financial Mathematics, Statistics, Econometrics, Quantitative Finance, Economics or Engineering.You'll achieve more when you join HSBC**Issued by HSBC Electronic Data Processing (México) Private LTD



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