Chief Risk Officer, Morgan Stanley Bank In China (MSBIC), Beijing

  • Competitive
  • 北京, 北京市, 中国
  • 未指明
  • Morgan Stanley
  • 2017-04-25

See job description for details

Morgan Stanley Bank International (China) Limited (“MSBIC”) is the wholly-owned commercial banking subsidiary of Morgan Stanley (MS) in China


Job responsibilities

• MSBIC Chief Risk Officer reporting to MSBIC General Manager and MS China CRO functionally

• Lead the Risk Management Team in MSBIC

• Oversee the Bank’s market risk, credit risk, operational risk and second line for liquidity risk management

• Liaise with the regulators on risk related issues; Ensure the Bank’s risk management complies with the applicable laws, regulations, rules, regulators’ guidance and expectations, as well as the Firm’s/Bank’s policies, procedures, guidelines and process

• Own MSBIC’s risk governance, and the Market, Credit and Operational Risk Management Policies for MSBIC, and oversee the implementation of these policies

• Responsible for setting up and maintaining the Bank’s risk appetite, market and credit risk limit framework, stress testing and capital-related projects including ICAAP, MPA, etc

• Report and/or escalate material risk matters to the MSBIC senior management, the relevant governance body according the bank’s risk management policies including MSBIC Risk Committee or MSBIC Board of Directors, as appropriate

• Act as the Market Risk manager for MSBIC, responsible for identifying, measuring, monitoring and managing the market risk for the bank *L1-SC2


• Strong knowledge of credit, market, operational and liquidity risk management with working experience in at least one of the risk management functional areas

• Familiar with regulated legal entity risk governance, risk appetite, stress testing and capital assessment

• Excellent written and verbal communication skills in both English and Mandarin

• Demonstrable track record of working under pressure and managing multiple projects with limited supervision

• Strong leadership

• Bachelors or Master’s degree (preferred) with 5-10 years of work experience in finance/accounting/risk management