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Trade & Finance Control Manager Collateral ServicesHSBC • Quezon City, Manila, Philippines
Trade & Finance Control Manager Collateral Services

Trade & Finance Control Manager Collateral Services

HSBC • Quezon City, Manila, Philippines
2 days ago
Job description

Somecareersshinebrighterthanothers.

Trade & Finance Control Manager - Collateral Services.

JobResponsibilities:

Ensuring the end-to-end integrity of Risk and Valuation Data by executing enhanced controls for the data to be readily consumed by all consumers including Traded Risk Finance Collateral etc.

  • Implementing Future state architectural system (VAULT) for centralized control in the bank in accordance with Basel Committee on Banking Supervision BCBS 239 principles.
  • Publishing and analyzing daily control reports for each asset class (Equity Foreign Exchange & Fixed Income) for materiality of risk impact
  • Acting as product owner for VAULT in various scrum calls with Quants IT Finance and risk to provide necessary control requirement.
  • Onboarding of new risk measures as per Standardised Approach (SA) and Internal Models Approach (IMA) for Fundamental Review of the Trading Book (FRTB) reporting requirement on VAULT
  • Liaises with feed providers to ensure the timeliness accuracy and completeness of inputs for reporting. This includes prompt escalation of delays and incomplete data for proper workaround and/or resolution
  • Providing oversight and direction to the direct reporting line to achieve team objectives and goals.
  • Coaching mentoring and developing staff including overseeing new employees onboard and providing career development planning and opportunities.
  • As a Subject Matter Expert (SME) the role requires to be able to effectively assist on production issues raised by Analysts and proactively coordinate for any production-related requirements.

JobRequirements:

  • A degree / qualification in finance accountancy business management quantitative course or previous experience in risk management or product control.
  • Good understanding of financial products risk management principles market risk measures (i.e. PVBP VaR) and systems
  • High level of competency in the production of information and the ability to process analyze and interpret market risk reports
  • High proficiency in Excel (VBA skill would be an advantage) Word and Powerpoint. Average proficiency in MS Access.

CandidatewithlessrelevantexperienceorskillsmaybeofferedalowerGlobalCareerBandthanstatedabove.

Duetotheurgenthiringneedcandidateswithimmediaterighttoworklocallyandnorelocationneedwillbeprioritized.

YoullachievemorewhenyoujoinHSBC.

.


Required Experience:

Manager


Employment Type : Full Time
Experience: years
Vacancy: 1

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Trade & Finance Control Manager Collateral Services • Quezon City, Manila, Philippines

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