Global Markets Audit - European CIB

Expiring today

Location
Hong Kong
Salary
HK$600 - 900,000
Posted
13 Oct 2018
Closes
19 Oct 2018
Ref
4609186
Contract type
Permanent
Hours
Full time
  • Multi asset class exposure and front-to-back coverage of APAC markets business
  • Direct liaison with the Senior Management team
  • Open to candidates from Front Office or Front Office support functions

This team is recognised internally as a key talent pool within the banking Group; you will follow a comprehensive training programme designed to ensure you are well-equipped to understand all areas of the Global Markets business from multiple perspectives.

In this role, you will conduct risk-based assurance projects (3 per year) across the APAC region (primarily Hong Kong & Singapore) to provide recommendations on process improvement and risk mitigation to the Senior Management Team across the following areas:

  • Global Markets (Equity Derivatives, FXLM & Commodity Derivatives, G10 Rates, Prime Solutions & Financing, Primary & Credit Markets)
  • ALM Treasury
  • Relevant Supporting & Control Functions: Global Markets Operations, Risk (market, credit, counterparty, strategic, business etc.), Compliance, Legal, Finance etc

Following a defined yet meritocratic career trajectory, after c. 3 years in the role, you will have the opportunity to either take a leadership role in the same team or leverage your accrued knowledge and relationships in a role within another area of the Group.

Key Responsibilities:

  • Develop a comprehensive understanding of the audited businesses and their incumbent risks
  • Identify high-risk areas and control deficiencies, issuing recommendations to remediate any gaps in the risk control framework
  • Liaise with various stakeholders (Heads of Business Units, Trading Desks etc.) to ensure appropriate coverage of the audited entity
  • Present findings and conclusions to Senior Management

Skills / Experience:

  • NO AUDIT EXPERIENCE REQUIRED
  • Strong academic record, with a preference for educational and/or professional qualifications in a scientific/quantitative field (Financial Engineering, Quantitative Economics, Econometrics, Physics, Mathematics etc.)
  • Demonstrable experience working in a Front Office environment or directly related support / control function (trading, sales, structuring, market risk, counterparty risk etc.)
  • Thorough understanding of global markets activities, and an aptitude for identifying high-risk areas
  • Strong communication skills with the ability to interact with internal and external stakeholders at all levels

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