Jobs
All Jobs Recommended Job Accounting and auditing Administration and Human Resources Banking / Finance Information Technology Sales / Customer Service / Business Development Frontline Job 前線工作 Professional and Innovative Jobs 專業及創新職位
Employers
All Employers Premium Employer
InsightsLocationsProductsKnowledge Clients About UsContact Us For Individual
Re-invent Your Career of the Future
Risk Officer, Risk Management
General management Legal Management Professional services Professional and Innovative Jobs 專業及創新職位

Public Finance Limited (formerly known as "JCG Finance Company, Limited") ("Public Finance" or the "Company") was incorporated in October, 1977. It is one of the largest financial institutions in Hong Kong with a total of 44 branches located in Hong Kong Island, Kowloon and the New Territories. Public Finance is a deposit-taking company under the supervision of the Hong Kong Monetary Authority. The shares of Public Financial Holdings Limited ("Public Financial"), the intermediate holding company of Public Finance, are listed on The Stock Exchange of Hong Kong Limited (stock code : 626).
 
Public Finance is engaged in various business activities including the provision of personal and commercial lending, overdraft, property mortgage loans, hire purchase and leasing, taxi financing and fixed deposits, etc. We provide customers with convenient and good quality services at all times. With around 1,400 staff in Public Financial and its subsidiaries (the "Group"), we are always here to serve you.
 

Highlight
(This position is recruited by CoolJobz)

- To identify, measure, monitor and control all material risks on the Company's business activities
- 2 years experience in risk management or working experience in banking and finance industry will be an advantage
- Double pay + Discretionary bonus
Responsibilities
- To identify, measure, monitor and control all material risks on the Company's business activities
- To prepare risk management reports and assist in conducting regular/ad-hoc risk assessments
- To assist in formulating and reviewing risk management policies, procedures, risk tolerance limits and methodologies
- To assist in performing stress testing analysis, scenario analysis, and other types of portfolio analysis
- To coordinate/provide guidance and supports to business units on risk management related matters
- To review the updates on regulatory developments and requirements by HKMA
Requirements
- Bachelor degree holders of any disciplines
- 2 years experience in risk management or working experience in banking and finance industry will be an advantage
- Good command in English and Chinese
- Good analytical, interpersonal and communication skills, self initiation and independent
- Strong PC skills especially in MS Word and Excel

Working Location: Mongkok, Hong Kong Please Log On to view career path
Salary
HKD 18,000.00 - 22,000.00 Per Month
Benefits
15 days of annual leave
Performance Bonus
Overtime Pay
Five-Day Work Per Week
Education Allowance
Life Insurance
Medical Insurance
Dental Insurance
Discretionary bonus (more than two months)
Job Type
Full Time
Qualification
Undergraduate / Bachelor
Position Level
Middle
Years of Experience
2
Locations
Hong Kong
Until 2030/12/31
Previous...
二級懲教助理

Next...
二級懲教助理 (公務員職位)

More Interesting Contents...
Assistant Manager, Corporate Planning - (230666)

Product Manager

Risk Officer, Risk Management