Senior AVP, Model Risk Management
... validations as part of a specialist quantitative team within HSBC Model Risk Management department, called Independent Model ... various types of models including credit risk models (e. g. , IRB, IFRS9, ...
... validations as part of a specialist quantitative team within HSBC Model Risk Management department, called Independent Model ... various types of models including credit risk models (e. g. , IRB, IFRS9, ...
... Description Manager - Risk Reporting with Data Analytics Wholesale Credit and Market Risk (WMR) department within HBEU measures and monitors global credit and market risks arising from lending and ... wholesale credit risk Proven ability to manage high ...
... , and loan loss reserving); market risk (e.g., daily value at risk pricing models, counterparty credit risk, Asset Liability Management, and term structure models); operational risk; liquidity risk and asset management.Why this ...
... , Model Validation (Credit Risk) Miejsce pracy: Kraków Technologies we use Expected Python R Matlab SAS About the project Model Risk Management (MRM) at HSBC is structured as a global function, headed up by the Chief Model Risk Officer (CMRO). The ...
... analysis to support effective risk management. This includes collaborative and ... it pertains to Treasury risks including but not limited to ... and Global Treasury Risk managers to understand and highlight key Portfolio Risk and escalate issues, Support the ...
... to support effective risk management. This includes collaborative and ... it pertains to Treasury risks including but not limited to ... Regional and Global Treasury Risk managers to understand and highlight key Portfolio Risk and escalate issues,Support the ...
... oversight of Change Execution Risk embedding in the GB GF ... 2LOD on Change Execution Risk policy, as well as 3LOD ... (KCIs) for Change Execution Risk and work alongside the Group ... Standard 13 Change Framework (Risk, Issues and Dependencies) – i) review ...
... . Euroclears mission is to reduce risk, provide liquidity and offer trusted ... are in place to manage risk. Euroclear plays a significant role ... complexity, lower costs, and mitigate risks of financial transactions. At Euroclear, ...
... , performance metrics and risks and associated issues. Detailed knowledge of local regulations and those of other country regulators would be an advantage. Experience with some statistical modelling software programming language e.g., ...
... , performance metrics and risks and associated issues. Detailed knowledge of local regulations and those of other country regulators would be an advantage.Experience with some statistical modelling software programming language e.g., ...