Company Name Bank of Communications (Luxembourg) Job Title : Senior Risk Analyst Location : Luxembourg Reports to : Head of Credit and Risk Control Department Division / Department : Credit and Risk Control Department Type of position : Full-
time General Description : Bank of Communications is one of the major financial services providers in China with the history of over 100 years since founded in 1908.
Besides more than 3 , 2 00 domestic banking outlets nationwide in China, it has set up 23 overseas institutions all over the world.
The business scope includes commercial banking, investment banking and securities services, wealth management , trust services, financial leasing, fund management, insurance and offshore banking services.
As a fully invested subsidiary of Bank of Communications, we would like to offer you with the opportunity to work with an energetic and prosperous team aiming to be succeed in the European market as a professional bank institution.
Main Responsibilities : Performing independently in ICAAP, I L AAP , Pillar III report, C ontingency F unding P lan, Recovery Plan, and stress testing.
Communicating with the regulators and supervisor s, following up closely the updated banking regulations. Deep involved in Large Exposure management, Capital Ratios compliance , capital management , market / liquidity / operational risk management .
Proactively identifying, quantif ying and monitoring risks on an on-going firm-wide and individual entity basis . Proposing effective measures to mitigat e major and critical risks .
Enhancing on- and off balance sheet risk coverage , as well as derivative related exposure s . Continuously taking part in the improvement of risk analysis and reports .
Other related work assigned by the regulators and supervisor in relation to new risk-based methodology. Qualifications and experience : Bachelor’s degree or above in Economics , Finance , Science or Engineering .
Minimum 8 years of experience in a commercial bank dealing with risks. Comprehensive knowledge of the main CSSF Circulars , risk management re quirements of ECB and BCL , Basel II & III accords , and regulatory publications.
Excellent Communication skills with the regulators and supervisor s. Rich experiences in ICAAP, I L AAP , Pillar III report, C ontingency F unding P lan, Recovery Plan, and stress testing.
Sound knowledge on a broad range of risks related to the banking sector, combined with expertise in market, liquidity and operational r isk management , analytics and KPIs , Large Exposure management, Capital Ratios compliance and bank's capital management .
F luency in English and French, exce llent written skill in English. Disclaimer : The preceding description is not designed to be a complete list of all duties and responsibilities required of the Senior Risk Analyst.