Duties:
· Assist the department in conducting comprehensive risk management, implement the comprehensive risk management requirements of the headquarters, write report materials;
· Assist in formulating credit and investment policies for branches;
· Organize and conduct various risk and stress tests, summarize and analyze the results, implement improvement measures, and update and maintain the stress test model.
Requirements:
· Bachelor's degree or above, majoring in Economics, Finance, Accounting, Management and Law, etc.;
· More than 3 years of work experience, or having worked in bank risk management for a full year;
· Have a certain understanding of the risk management requirements of domestic and foreign supervisory agencies, be familiar with risk management models, quantitative methods, reporting methods and policy writing, and have strong writing skills;
· Have financial risk management professional qualifications, or those with Big Four work experience are given priority.