毕马威-Senior Consultant, Financial Risk Management-上海

职位描述
Responsibilities
To work on projects relating to IFRS 9, market risk, credit risk or treasury system
Provide expertise and participate in project delivery, assist on all project materials, such as proposal and presentation materials, event materials
Understand clients’ need, provide solution and deliver good quality of services
Report to the engagement managers on regular basis
Experience
An University degree in Economics, Finance, Economics, Accounting, Risk Management, Actuarial, Engineering, Business Mathematics, Statistics or Technology
CFA, FRM, or CPA certification is preferred
Experience in risk management, modelling, financial software in financial instituation or in professional advisory is preferred
University graduates or 1-3 years work experience are preferred
Core Skills
Knowledge in any of the following areas would be preferrable:
fixed income, FX, commodities derivative products
financial risk management, front to back trade flow, or financial accounting
credit risk models or impairment models
market risk and market risk models
financial derivatives quantitative analysis
Basel market risk requirements and local regulatory requirements on market risk
Familiar with data analytic or programing softwares, eg. VBA, SAS, Matlab, FinCAD, R, Reuters, Bloomberg
Familiar with market risk management systems, eg. Murex, Summit, Algo, Adaptiv
Effective organizational, analytical, problem solving, time management, interpersonal and communication skills
Self-motivated and able to work under pressure
Able to work with team members who have different background and experience
Excellent written and oral communication skills
Good written and spoken Chinese & English
We offer successful candidates an attractive remuneration package and the opportunity to work in a dynamic and exciting environment.
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