Assistant Manager Portfolio Risk Analytics and

3 weeks ago


Kuala Lumpur, Malaysia HSBC Full time

**Some careers open more doors than others.**

If you’re looking for a career that will unlock new opportunities, join HSBC and experience the possibilities. Whether you want a career that could take you to the top, or simply take you in an exciting new direction, HSBC offers opportunities, support and rewards that will take you further.

Global Risk is a thriving and expert risk management function supporting HSBC globally with all aspects of risk management. The team actively manages a varied and dynamic range of risk types, including security, fraud, information security, operational, credit, pension, insurance, compliance, regulatory, market, reputation and geopolitical risks. All parts of the Global Risk team use their skills, insight and integrity to handle established threats and those they see emerging, acting to protect and enable HSBC to deliver sustainable growth.

We are currently seeking a high calibre professional to join our team as **Assistant Manager Portfolio Risk Analytics and Strategy**. The role will be based in Kuala Lumpur.

**Principal Responsibilities**:
At a high level, the role holder is responsible for:

- Actively support a strong risk management culture in the Business that promotes good analysis, judgment, flexibility and balance between risk and reward.
- Proactively review and challenge the First Line of Defence to assess the adequacy of risk management activities, and support Risk Steward responsibilities.
- To ensure the Policy and Procedure are interpreted and translated accurately in Front End decision engine.
- To support and coordinate system strategy enhancement and involve in UAT.
- Engage and manage service provider in ensure the system enhancement delivery within the expected timeline.
- Accountable for primary data interpretation, reporting on banking product to ensure effective deployment of analysis and insight to support business growth/strategies programs.
- Maintain a robust and efficient control environment across the function to ensure good operational, financial and project management and compliance with HSBC policy and procedures.

Requirements

**Requirements**:

- Degree in Finance or Accounting and relevant experience in Portfolio Risk Analytics and Strategy.
- Having a good understanding and strong awareness of operational risk.
- Capable of solving problem and demonstrating a high level of resilience in managing the diversification of product and customer range.
- Must possess maturity, strong analytical & data mining skills and experience in analysing portfolios.
- Excellent communication and inter-personal skills with experience in dealing with regulators and fellow risk practitioners across the industry.

**You’ll achieve more when you join HSBC**

**Issued by HSBC Bank Malaysia Berhad



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