Financial Markets Infrastructure Risk Management, VP (Hybrid)
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Job Description
Structured overview of role & requirementsAbout This Role
Manage credit risk exposure related to Financial Market Infrastructures (FMIs) in Asia Pacific, including Central Clearing Counterparties and FMI intermediaries.
Conduct reviews for new FMI memberships, challenge first-line risk assessments, and contribute to approval committees for new memberships.
Engage with senior business managers, regulators, and internal stakeholders to communicate credit concerns, represent FMIRM in forums, and ensure timely risk analysis and remediation.
Minimum Requirements
Minimum 8 years experience in a large Financial Institution or Financial Market Infrastructure (FMI).
Strong knowledge of FMI risk including exposure measurement, rules, regulatory landscape, and margin methodologies.
Master's degree in quantitative/finance or equivalent experience.
Experience interacting with senior management, regulators, managing regulatory examinations, and audit reviews.
Ideal Candidate Profile
Experienced in credit risk management specifically related to FMIs and financial markets products such as derivatives, securities clearing, and payments systems.
Skilled in stakeholder influence and communication across multiple internal and external groups, including regulators and senior management.
Capable of independently managing multiple projects with strong analytical, organizational, and communication abilities.
