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Retail Risk Country Business Manager

Date Posted
12th October 2017
Reference
VAC-27123
Sector
Banking & Financial Services
Job Type
Permanent
Location
Bermuda
Salary
Not Disclosed

Job Summary

HSBC Bank Bermuda Limited is seeking an experienced Retail Risk Country Business Manager

Job Description

HSBC Bank Bermuda Limited is seeking an experienced Retail Risk Country Business Manager within the Risk Management division of the Bank with responsibility for all aspects of Retail Risk modelling and information control systems for the Bank’s Credit Portfolio, which are used to set strategy and evaluate performance.

Major responsibilities

  • Ensuring that all Retail Risk financial reporting (includes IFRS and IAS) and regulatory reporting (including BASEL III and Saracen) are accurate and timely and that changing disclosure/reporting needs, including advanced statistical measure such as portfolio stress testing is carried out to HSBC standards 
  • Developing and maintaining HSBC Group and local regulatory credit portfolio databases required to support portfolio and departmental reporting and analysis 
  • Providing effective analysis of relevant management information through regular monitoring to support and enable recommendations for senior management decisions through several stakeholder committees 
  • Assisting in implementing global and regional frameworks, processes and initiatives regarding Risk Appetite Statement and support their implementation in the business lines, driving implementation of regional risk strategy policies and emerging risk regulation 
  • Leading and developing an effective team through a consultative or participative approach, encouraging positive peer relationship and treating others with respect. Establishing trust and sharing expertise, as needed, are key aspects of effective business development. Promoting an environment that supports diversity and reflects the HSBC brand 


Minimum qualifications

  • Statistical or accounting qualification. Bachelor degree level educational qualification combined with hands on experience in quantitative and qualitative risk analytics and business analysis gained over a period of five years 
  • Excellent analytical and technical skills, able to produce concise, clear, robust analyses of complex data for executive management 
  • Expert knowledge in computer user applications, including MS Office (in particular Excel) and relational databases 
  • Strong background/experience within a regulated-banking and/or financial institution environment 
  • Excellent presentation skills, both verbal and written 


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