Traded Risk Aggregation Gsc's
2 days ago
**Some Careers grow faster than others.**
If you’re looking for a career where you can make a real impression, join HSBC and discover how valued you’ll be.
HSBC is one of the largest banking and financial services organizations in the world, with operations in 64 countries and territories. We aim to be where the growth is, enabling businesses to thrive and economies to prosper, and, ultimately, helping people to fulfil their hopes and realize their ambitions.
We are currently seeking an experienced professional to join our team in the role of **Traded Risk Aggregation** **.**
**What you’ll do**:
- Perform VaR back-testing at the Group/Entity/Desk level for internal and regulatory reporting
- Analyze and explain the backtesting breaches at the risk factor level, scenario level
- Analyze and provide commentary on changes to risk measures
- Track the daily market risk returns from all trading entities, and liaise with regional market risk managers and finance functions to analyze and resolve any issue
- Finalize the daily Group VaR for both internal and external reporting and capital calculation purposes
- Tracking the market risk limit excesses submitted by the sites, and the preparation and review of limit excess reports for senior management review
- Take initiatives to develop innovative solutions in order to address ad-hoc requests from senior management. Lead the development of ad-hoc tools and prototypes
- In depth and adequate analysis to ad-hoc questions on risk-related information, investigate any apparent discrepancies and resolve as necessary
- Work with global business and regional businesses on projects and conduct UAT to ensure that implementations meet regulatory and business requirements. Participate and provide analyses and perspective in projects for stressed VaR, Back-testing, limit monitoring etc. to name a few.
- Preparation of monthly risk management papers for the Groups RMM and the Global Banking and Markets Risk Management Committee
- Work closely with stakeholders in multiple regions around the world. Ensure their expectations are managed
Requirements
- Qualification in Finance, Business Management, Engineering and previous experience of about 5-7 years in mainly Market Risk
- A detailed understanding of VaR, stressed VaR, Backtesting etc., with knowledge of derivative products
- Understanding of sensitivities (Greeks of an option, CS01, PVBP etc.) is critical in delivery of day to day work
- Highly competent in the production of information, and the ability to process and analyze large volumes of data
- Excellent communication skills
- Python, Advanced Excel and VBA skills are a pre-requisite
- Tableau knowledge is preferred
- Ability to work under pressure and to tight time-lines is essential. Attention to is required to succeed in the role
**You’ll achieve more at HSBC
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