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Operational Risk Manager

$110k - $230k

Bank of China

VP Role In Model Risk ManagementEstablished in 1912, Bank of China is one of the largest banks in the world, with over $3 trillion in assets and a footprint that spans more than 60 countries and regions. Our long-term outlook, institutional weight and global breadth provide our clients with a stable and reliable financial partner, whether in Corporate or Personal Banking or our Trade Services, Commodities, Financial Institutions and Global Markets lines of business.The job is a VP role in Model Risk Management team. The role contributes to implementing the model risk management framework including carrying out model risk governance activities and performing independent model validation. Specifically, regarding model validation, this role mainly drives and contributes to all kinds of model validations (e.g. credit risk, compliance risk, market risk/pricing, interest rate risk and liquidity risk types of models, etc.). This role will also get exposure to End User Computing (EUC) control framework enhancement and implementation. In general, this role is able to execute multi-tasks around model risk governance, conduct and add business values in model validation process, timely and effectively respond the requests from Regulatory and Internal Audit, and contribute in EUC control process.ResponsibilitiesConduct independently and drive the team to perform model validation mainly on credit risk related models by applying analytical skills for models defined in the model inventory and produce model validation reportsIndependently coordinate the remediation of model validation findings and provide analytical guidance of the finding ownersIndependently communicate with model developers/owner/users and senior management regarding validation findings and remediation activitiesSupport and drive the team to implement the activities defined in model risk management framework and ensures that the Bank's model risk management framework continues to align with regulatory expectationsSupport and drive the team to maintain model inventory and conduct annual model review/attestation processesContribute in EUC control framework maintenance and enhancementCollaborate will relevant stakeholders to carry out the activities defined in EUC control frameworkSupport the other teams in ERM as needed.QualificationsBachelor's degree required. Master's degree in Financial Engineering, Financial Mathematics, Mathematics, Statistics or Computer Science major preferred.Minimum 6 years of financial modeling/analytical experience.Demonstrate strong analytical and quantitative skills to understand and validate models effectively.Demonstrate strong critical thinking and problem-solving skills with the ability to exercise sound and balanced judgment.Demonstrate knowledge of SR11-7, supervisory guidance on model risk management, and other relevant banking regulations from regulators including OCC and FRB.FRM or CFA preferred.Pay RangeActual salary is commensurate with candidate's relevant years of experience, skillset, education and other qualifications.USD $110,000.00 - USD $230,000.00 /Yr.

Vacancy posted 5 days ago
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