Team Head Market Risk

Team Head Market Risk

Roles and responsibilities include:

1.Support the group chief risk officer and financial risk director(s) in developing the group’s financial risk strategy; raising awareness of and encourage the active consideration of market risk across the business.

2.Seek external opinions on market developments to provide internal advice and challenge Aviva Investor views.

3.Supporting group treasury, embedded in the liquidity risk management framework.

4.Managing ongoing dynamic market risk data reporting requirements in the application along with streamlining the data adjustment process between three control teams.

5.Enhancing the ongoing market risk limit reporting and monitoring process in conjunction with reporting and management teams.

6.Ensuring stress testing for contingency funding plan; collaborate with others to ensure completion of stress testing of credit portfolio.

7.Bachelor’s degree from a four-year college or university and 8 years or more of risk related experience.

8.The ability to make tough decisions and prioritize competing demands.

9.Dedication to information integrity, producing high quality results and hitting deadlines.

10.Proven track record at managing complex, high-demand, low-error information reporting processes.

11.Demonstrated ability to assess risk trends, both internally and externally.

12.Technical background that includes hands on experience with the development life cycle.

We offer excellent career prospects to the right candidates. Interested candidates, please send resume to or contact Ms Tan at 3108-3139.