Risk Management Specialist

hace 3 semanas


Xico, México Hsbc A tiempo completo
Job Title: Traded Risk Analyst

We are seeking an experienced professional to join our team in the role of Traded Risk Analyst. This position is responsible for analyzing, controlling, and reporting risks that the bank incurs.

Key Responsibilities:
  • Compile and analyze risk for limits and risk monitoring/reporting daily.
  • Review risk exposures relative to risk limits.
  • Analyze risk exposures and effectively communicate the major drivers of risk to the business and senior management.
  • Research and follow-up on queries regarding risk measures from Market Risk Managers, Front Office, and Senior Management.
  • Participate in the design and testing of risk engines to ensure the capture of all risk types such as PVBP, VaR, CS01, EAD, etc., and understand their role in RWA computation.
  • Manage and monitor limits, including timely escalation, reporting, and investigation of limit excesses.
  • Ensure that data used for risk valuation and calculation is appropriately captured, processed, and reported.
  • Contribute to the establishment of best-in-class standards and practices, seeking continuous improvement in daily processing.
  • Collaborate with local counterparts in wider Traded Risk Process & Analysis team to ensure all tasks are completely accurately and in a timely manner.
  • Ensure that all procedures and best practices defined by Traded Risk Process & Analysis are followed and documented in a period manner.
  • Responsible for continuous and efficient management of risk control activities which minimize exceptions, breaks, breaches, and manual processing.
  • Ensure compliance with operational risk controls in accordance with HSBC and regulatory standards and policies and optimize relations with regulators by addressing any issues.
  • Promote an environment that supports diversity and reflects the HSBC brand.
Requirements:
  • Bachelor's or Master's degree in finance, economics, engineering or similar discipline.
  • 3+ years of experience in a risk function at a major financial institution, preferably with a focus in market risk.
  • Good understanding of vanilla and structured products traded within capital markets.
  • Excellent communication skills with the ability to explain topics clearly and intuitively.
  • Good understanding of capital markets and the key market risk measures and methodologies used to assess risk.
  • Team-oriented, while pro-active and self-motivated with ability to complete tasks with limited supervision.
  • Good at handling a diverse workload of longer-term projects and short-terms asks.
  • Comfortable with understanding and learning to leverage multiple risk systems.
  • Familiarity with databases and programming languages like SAS, MATLAB, Access, R, Python is a plus, but not mandatory.


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