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Head of Risk Portfolio Management/ Group Portfolio Analytics
Our client is one of the well known retail & commercial bank, currently looking for Head of Risk Portfolio Management/ Group Portfolio Analytics manage a department in Hong Kong, work closely with the regional team and the Group You are responsible and oversee the functions of (1) Credit risk modelling development & monitoring including scorecards, IRB, IFRS 9 for both wholesale and retail banking portfolios (2) Credit RWA engine and calculation (3) Risk appetite (4) Stress testing, ICAAP (5) Risk disclosure- regulatory Pillar 1 and Pillar 3 (6) Risk Optimization (7) Regulatory change projects such as Basel 3 reform (8) Chair various risk committees etc. Requirements: Over 15 years risk experience in banking
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