300 Rail Safety jobs in Hong Kong
Risk Management
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Internal Title: Risk Management / Compliance Trainee
Department: Risk Management/ Quality Assurance
Contract Duration: The employment starts from September 2025, 3 months/ 6 months/ 12 months contract, offer both full-time/ part-time internship placement
Join our team as a Risk Management/Compliance Trainee and play a pivotal role in ensuring the integrity of our pension platform. This internship offers a unique opportunity to develop expertise in regulatory compliance and client communications.
Main Duties:
- Assist in replying the enquiries from clients and other stakeholders regarding the pension platform division;
- Assist in monitoring pension administration processes and controls to ensure compliance with regulatory requirements and service delivery standards;
- Conduct analysis to support risk assessment and assist the team manager/management with decision-making processes;
- Perform ad-hoc duties as required.
Requirements:
- Year 2 or above with a bachelor's degree in Risk Management, Finance, or Business Administration preferred;
- Strong analytical and problem-solving skills;
- Detail-minded and attentive to details;
- Proficient in written and spoken English and Chinese;
- Self-motivated, strong analytical and coordination skills;
- Committed, responsible, and willing to work under pressure;
- Outstanding performers may have an opportunity in a permanent graduate position.
Experience Level
Entry level (i.e. Exec, Snr. Exec)
Education Level
Diploma,
Advanced/Higher/Graduate Diploma,
Bachelor's Degree
Language
English,
Chinese
Skillset
Risk Management,
Decision-Making
Benefits:Fun
Game room with PS4, FIFA19 and Foosball at all time.
Snacks & Beverages
Vending machines with various snacks and coffee for you to choose from.
Yearly activities
Movie Day, Outdoor activities, Celebration during festive seasons and many more
Remuneration package
Competitive Salary (way above market rate if you have the right potential)
Coverage
Insurance and medical coverage.
Allowances
Monthly sports allowance, Yearly department gathering and welcome dinner for new staff.
Company Overview:iFAST Corporation is a global digital banking and wealth management platform headquartered in Singapore, providing a comprehensive range of investment products and services to financial advisory firms, financial institutions, banks, internet companies, multinational companies, as well as retail and high net worth investors in Asia. The Group offers access to over 17,000 investment products including funds, bonds and Singapore Government Securities (SGS), stocks, Exchange Traded Funds (ETFs), insurance products, and services including online discretionary portfolio management services (DPMS), research and investment seminars, financial technology (fintech) solutions, banking, pension administration, investment administration and transactions services. The company is also present in Hong Kong, Malaysia, China and UK.
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Tsim Sha Tsui, Yau Tsim Mong District, Hong Kong
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Risk Management
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Risk Management
Posted today
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Recruit Express (Hong Kong) Limited is seeking a talented Risk Management professional to join their team in Kwun Tong, Kwun Tong District. This full-time position offers the opportunity to work in a dynamic, semi-government environment within the banking sector. The ideal candidate will have a strong background in audit, particularly from a Big 4 firm, and a keen interest in risk management.
What you'll be doing
- Conducting comprehensive risk assessments to identify, analyse and mitigate potential risks within the banking operations
- Developing and implementing effective risk management strategies and policies to ensure compliance with industry regulations and best practices
- Monitoring and reporting on key risk indicators, and providing recommendations to management on risk mitigation measures
- Collaborating with cross-functional teams to foster a culture of risk awareness and proactive risk management
- Staying up-to-date with the latest industry trends, regulations and best practices in risk management
- Providing expert advice and guidance to stakeholders on risk-related matters
What we're looking for
- Strong background in audit, especially from a reputable Big 4 firm
- Excellent analytical and problem-solving skills, with the ability to identify and mitigate complex risks
- In-depth knowledge of industry regulations, compliance requirements and best practices in risk management
- Effective communication and stakeholder management skills, with the ability to translate technical information into meaningful insights
- Proven track record of successfully implementing risk management strategies and policies
What we offer
- Competitive remuneration package with opportunities for career advancement
- Comprehensive training and development programs to support your professional growth
- Collaborative and supportive work environment with a focus on work-life balance
- Generous leave entitlements and health and wellness initiatives
- Opportunities to contribute to the company's strategic initiatives and growth
About us
Recruit Express (Hong Kong) Limited is a leading recruitment agency with a strong presence in the financial services sector. We pride ourselves on our commitment to excellence, innovation and a client-centric approach. As a semi-government organisation, we offer a unique blend of public sector stability and private sector dynamism, providing our employees with the opportunity to make a meaningful impact on the banking industry.
If you're an experienced risk management professional with a passion for audit and a desire to contribute to the success of a dynamic organisation, we encourage you to apply for this exciting opportunity. Click the "Apply now" button to submit your application.
VP, Market Risk Management, Risk Management
Posted today
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JOB REFERENCE
BOCI00861
CONTRACT TYPE
Permanent
DIVISION
Risk Management
JOB FUNCTION
Others
The Role
VP, Market Risk Management, Risk Management (UK Office)
Key Accountabilities
- Provide independent high quality credit risk assessments and assist in ensuring all credit risks are identified monitored and controlled effectively;
- Coordinate and assist in market risk and operational risk matters;
- Keeping up to date with all regulatory liquidity requirements, management of stress tests and gap metrics;
- Monitoring of liquidity risk for internal risk management;
- To assist with the review and development of risk management policies and procedures;
- Prepare daily risk management reports and analysis;
- Interacting with Regulators, Commodity Exchanges, Internal and External Auditors on Liquidity, Operational Risk, BCP and Resilience matters;
- Assist or lead on Compliance risk assessment work;
- Escalate material risk events for example in Conduct Risk, Conflicts of Interest;
- Reporting to UK Head of Risk/Compliance and to Head of Risk Department in Hong Kong.
Skills & Experience
- Educated to degree or appropriate professional qualification level;
- Minimum of 5 years' experience working in risk management role;
- A good understanding of broad range of wholesale banking products;
- Solid experience in credit risk analysis;
- Ability to explain complex risk concepts to various stakeholders;
- Well understanding on FCA requirements on risk and compliance;
- Strong analytical skills to use data/risk metrics for risk monitoring;
- Excellent communication and interpersonal skills;
- Strong work ethic and ability to cover some Compliance work in addition to Risk responsibilities.
Other Information
- Please apply in strict confidence with full resume, academic record, current and expected salaries;
- The personal data provided will be used for consideration of recruitment only. All personal data of unsuccessful candidate will be destroyed within 24 months;
- Candidates with Enhanced Competency Framework (ECF): please state on the CV.
About BOCI
As a leading investment bank in China and Hong Kong region, the investment banking arm of Bank of China, BOC International Holdings Limited ("BOCI"), is now seeking highly motivated, creative and success-oriented professional who would like to pursue the career for supporting our group.
VP, Credit Risk Management, Risk Management
Posted today
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The Role
VP, Credit Risk Management, Risk Management
Key Accountabilities
- Responsible for analyze, approve and monitor the counterparty credit risk for multi trading desks;
- Responsible for analyze, approve and monitor issuers' default risk for bond investment portfolio;
- Participate in Internal Rating Model developments;
- Participate in credit risk management guidance, policy and risk management framework establishment;
- Participate in Centralized Credit Policy related duties;
- Participate in credit risk management database maintenance;
- Assist Credit Framework head and Team head in handling specially designated credit risk management projects.
Skills & Experience
- Bachelor's degree in Risk Management, Finance, Economics. Accounting or any related discipline;
- More than 10 years of experience in credit risk management;
- CFA, FRM or CPA preferred;
- Proactive, detail-oriented and able to multi-task;
- Excellent communication and writing skills in Mandarin and English.
Other Information
- Please apply in strict confidence with full resume, academic record, current and expected salaries;
- The personal data provided will be used for consideration of recruitment only. All personal data of unsuccessful candidate will be destroyed within 24 months;
- Candidates with Enhanced Competency Framework (ECF): please state on the CV.
About BOCI
As a leading investment bank in China and Hong Kong region, the investment banking arm of Bank of China, BOC International Holdings Limited ("BOCI"), is now seeking highly motivated, creative and success-oriented professional who would like to pursue the career for supporting our group.
Officer - Risk Management
Posted today
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- Assist in review of risk management framework, policies and procedures
- Conduct risk analysis and assessment to identify and monitor major risks of the Bank
- Perform ad hoc tasks and projects assigned by supervisor
- University Degree in Finance, Economics, Risk Management, Mathematics or other related disciplines with minimum 1 year relevant working experience
- Hand-on experience in asset and liability management will be an advantage
- Self-motivated with good interpersonal and communication skill in both English and Chinese
- Proficient in PC applications, including MS Excel
- CFA / FRM Level I or above is preferable
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Director, Risk Management
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Position Overview:
We are seeking an experienced and strategic Director of Risk Management to strengthen our internal risk oversight and corporate governance. This role will focus on safeguarding the company's financial stability, ensuring effective treasury management, and embedding sound risk practices across the organization.
Key Responsibilities:
- Enterprise Risk Oversight: Develop and maintain an internal risk management framework aligned with the company's business strategy and governance priorities.
- Treasury & Liquidity Risk: Oversee treasury-related risks, including cash management, liquidity planning, and exposure monitoring.
- Policy & Controls: Design and implement internal risk policies, procedures, and control mechanisms to promote sound decision-making and operational integrity.
- Risk Assessment & Monitoring: Identify, analyze, and monitor key enterprise risks across financial, operational, and strategic areas.
- Reporting & Governance: Provide regular risk updates to management and the board, highlighting emerging risks and mitigation plans.
- Collaboration: Partner with finance, operations, compliance, and investment teams to ensure risks are managed holistically.
- Regulatory Awareness: Track relevant regulatory and market developments to proactively manage potential impacts on the company.
Qualifications:
- Education: Bachelor's degree in Finance, Business Administration, Risk Management, or related field.
- Experience: Minimum 7 years' progressive experience in risk management, treasury, or corporate governance.
- Knowledge: Strong understanding of risk frameworks, treasury processes, and financial controls.
- Skills: Excellent analytical, problem-solving, and decision-making skills. Strong communication and interpersonal abilities are essential.
- Leadership: Proven ability to implement governance structures and influence decision-makers across functions.
Head (Risk Management)
Posted today
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Hong Kong Interbank Clearing Limited
Hong Kong Interbank Clearing Limited (hereinafter referred to as "the Company") is a private organization jointly owned by the Hong Kong Monetary Authority (HKMA) and The Hong Kong Association of Banks. The Company's key objective is to develop and operate a safe and efficient multi-currency and multi-dimensional financial infrastructure in Hong Kong for:
- large-value interbank fund transfers denominated in HKD, USD, Euro and RMB;
- interbank money settlement of equity and debt securities transactions in Hong Kong via the linkages with the Hong Kong Securities Clearing Company Limited and the HKMA's Central Moneymarkets Unit (CMU) system;
- small-value interbank fund transfers denominated in HKD and RMB via the HKD and RMB Faster Payment System; and
- interbank clearing and/or money settlement of retail payments, such as paper cheques, autocredits, credit card payments, etc. in Hong Kong.
The Company is also the operator of the HKMA's CMU system.
Apart from interbank clearing-and-settlement services, the Company and its subsidiaries also support the HKMA and the financial industry to foster the development of the financial technology ("FinTech") ecosystem in Hong Kong.
We are looking for a suitable candidate to take up the following job position.
Head (Risk Management)Major Responsibilities
- Assist the Chief Risk Officer (CRO) in maintaining and reviewing the enterprise risk management framework, strategies and processes
- Define, review and maintain the enterprise risk management policies and procedures of the Company and its subsidiaries
- Oversee the development of risk assessment methodologies, processes and procedures as appropriate to the different business units
- Provide advice to and support business units in the development and implementation of internal control measures
- Centralise risk management and monitoring processes, covering technological risk, operational risk, financial and liquidity risk, legal and compliance risk, business continuity, third-party risk, data privacy risk, reputational risk, etc.
- Oversee cyber resilience posture and compliance with law, regulations and industry standards
- Participate in business strategies as well as new projects and initiatives, and contribute from the perspectives of risk and control
- Report on all risk management activities and exposures to the senior management, the Board, as well as regulatory bodies where necessary
- Assist the CRO in reporting risk related matters to internal and external stakeholders including the Board, Risk Management Committee, auditors and regulators
Requirements
- University education preferably majoring in business studies, risk management, information technology or related disciplines
- Possess professional knowledge in relation to computer-system security, such as holding qualifications of CISP, CISA, CISM, CISSP, or equivalent certificates
- Minimum 15 years of risk management experience preferably gained from major financial institutions with at least 8 years' experience at managerial level
- Expertise in various aspects of risk management as well as the services and operations of the financial sector, preferably with experience in cybersecurity and technology risk management
- Good knowledge of risk management strategies/policies/frameworks and relevant global/local regulatory requirements
- Strong analytical, interpersonal and management skills
- Excellent command of written and spoken English and Chinese, proficiency in Putonghua is an advantage
How to Apply
Interested parties please send your curriculum vitae stating your current and expected salaries, and contact phone number to the Human Resources Division, Unit B, 25/F, MG Tower, 133 Hoi Bun Road, Kwun Tong, Kowloon or by clicking the "Apply Now" button below:
All applications and personal information collected will be treated in strict confidence and only be used for the purpose of recruitment and selection. The information collected will be accessed by our authorized personnel only. Those applicants not contacted by the Human Resources Division within two months from their application date should consider their applications filed for future reference which will be retained for one year for possible future job matching, and destroyed after the expiry of one year.
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Credit Risk Management
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As part of Risk Management, you are at the centre of keeping JPMorganChase strong and resilient. You help the firm grow its business in a responsible way by anticipating new and emerging risks, and using your expert judgement to solve real-world challenges.
As an Associate in the Wholesale Credit Risk Team, you will serve as the primary credit coverage for a portfolio of Hedge Funds and Asset Managers in the Asia Pacific region. You will be instrumental in helping us grow our business responsibly by anticipating new and emerging risks, using your expert judgment to solve real-world challenges that impact our company, customers, and communities. Our culture is all about thinking outside the box and striving to be best-in-class.
Job responsibilities
- Serve as the main point of contact for all Lines of Businesses, including OTC Markets, Prime Financial Services, Securities Services, Structuring & Fund Financing desks
- Maintain primary ownership of the ongoing credit relationship by assigning internal ratings, recommending credit appetite, and assessing risk measures
- Conduct in-person client due diligence meetings, transaction structuring/execution, and oversee negotiation and documentation of legal agreements
- Review and approve trading activity, recommend margin requirements, and propose structural solutions to mitigate risks
- Build effective client partnerships, both internally and externally, and independently challenge the activities of the Business
- Demonstrate a deep understanding of Hedge Fund/Asset Manager investment strategies and inherent risks.
- Coach and train junior team members to think holistically about risk
- Maintain a detailed and forward-looking knowledge of developments in regulatory frameworks, industry, and market trends across Asia Pacific and globally
- Drive key initiatives and process changes by identifying limitations/gaps in systems, risk controls, and policies
- Collaborate with NA/EMEA Credit counterparts to drive a consistent global coverage model
Required qualifications, capabilities, and skills
- Bachelor's Degree in Business, Finance, or a related field
- Minimum of 3 years of experience in credit risk management in the financial services industry
- Familiarity with the concepts of Credit Risk – how it may arise and potential mitigants
- Understanding of the theory behind risk and return metrics (VaR, Stress, MTM, DV01, etc.)
- Counterparty credit risk analysis skills, with knowledge of financial markets (including macro and microeconomics) and ability to 'connect the dots' with the portfolio of clients
- Strong interpersonal and communication skills, with the ability to establish credibility & trust with both internal and external stakeholders
- Strong organizational and time management skills, ability to learn quickly, and a high level of accountability and ownership of tasks
- Proficiency in Microsoft Office Suite, especially Excel, PowerPoint, and Word
Preferred qualifications, capabilities, and skills
- Experience in conducting diligence on Hedge Funds, Asset Managers, or Financial Institutions obtained in a corporate or investment bank
- Knowledge of the Hedge Fund and Asset Management industry, their evolving investment strategies, and risks inherent to them
- Relevant postgraduate qualifications (e.g., CFA, FRM, Masters of Finance) would be highly regarded
Risk Management Officer
Posted today
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Company Description
Taiping Reinsurance Co., Ltd. (abbreviated as "TPRe") was incorporated in Hong Kong in September 1980 as a state-owned composite professional reinsurer, undertakes the non-life and life reinsurance business all over the world.
With head office in Hong Kong, TPRe also set up operating platforms in the region and overseas, including subsidiaries in Beijing and London , a branch in Labuan, Malaysia, as well as representative offices in Japan and Macau. As one of the renowned professional reinsurance companies based in Asia, TPRe possesses well-recognized market position and underwrites reinsurance business all over the world. Currently, TPRe serves clients from more than 100 markets and has maintained the leading position in Hong Kong's reinsurance market for the past years.
To cope with the forthcoming challenges in the dynamic market, we are looking for talented individuals to join our team of professionals:
Taiping Reinsurance Co., Ltd. (abbreviated as "TPRe") was incorporated in Hong Kong in September 1980 as a state-owned composite professional reinsurer, undertakes the non-life and life reinsurance business all over the world.
With head office in Hong Kong, TPRe also set up operating platforms in the region and overseas, including subsidiaries in Beijing and London, a branch in Labuan, Malaysia, as well as representative offices in Japan and Macau. As one of the renowned professional reinsurance companies based in Asia, TPRe possesses a well-recognized market position and underwrites reinsurance business all over the world. Currently, TPRe serves clients from more than 100 markets and has maintained the leading position in Hong Kong's reinsurance market.
To cope with the forthcoming challenges in the dynamic market, we are looking for talented individuals to join our team of professionals.
Job Description
Responsible for the overall establishment of the Company's ERM system that meets Hong Kong's regulatory requirements
Promote construction of the Company's internal control system and optimization of the Company's business processes
Perform the job responsibilities of the Risk Management Committee office of the Board of Directors
Implement the use of Group's risk management and compliance information systems within the Company
Assist in communicating with internal auditor and leading rectification work
Organize trainings related to risk management, internal control, etc.
Requirements
University degree in insurance, statistics, risk management, finance or related discipline, FRM is preferred
More than 3 years work experience in financial and insurance risk management
Solid knowledge and experience in internal control, risk management
Familiar with insurance business work flow and financial accounting work flow
Proficiency in business writing, strong English listening, speaking, reading and writing skills
Good communication & collaboration skill
Application Procedure
For interested parties, please quote reference no. together with your CV, expected salary and the date of availability to the General Management Department - Human Resources via the followings:
Mail :
Human Resources Manager
Taiping Reinsurance Co., Ltd.
17/F, 18 King Wah Road, North Point, Hong Kong
E-mail :
(email redacted, apply via Company website)
All information provided by applicants will be treated in strict confidential for recruitment related purposes within the China Taiping Insurance Group Co. Information of unsuccessful candidates will be deleted from our file after 6 months from the date of application.
Full-time
Risk Management Specialist
Posted today
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Risk Management Specialist - Big 4 Talents Wanted
Your new company
A well-established financial services organisation is seeking multiple Risk Management specialists at various levels to join their team.
Your new role
- Perform thorough due diligence and verification on funding claims to ensure accuracy, compliance, and legitimacy before approval.
- Evaluate and assess the credit policies of lenders participating in funding applications, ensuring they meet regulatory standards and internal risk criteria.
- Assist in preparing detailed risk reports related to funding claims, highlighting potential risks and recommending mitigation strategies for management review.
What you'll need to succeed
- Degree holder or above in finance, risk, or related fields
- 2 to 10+ years of relevant experience in commercial banking or audit assurance, considered for AM to AVP levels based on expertise
- Experience in credit risk management or commercial lending is a bonus.
- Strong analytical skills, self-motivated, proactive, with the ability to work independently and communicate effectively.
- Proficient in both written and spoken English
- Immediate availability is highly preferred.
What you'll get in return
- Attractive package
- Stable career path
- Project exposure
What you need to do now
If you're interested in this role, click 'apply now' to continue forwarding an up-to-date copy of your CV, or email Charmaine Wong