Traded Risk Senior Manager Regulatory Reporting
Some careers open more doors than others.
If you’re looking for a career that will unlock new opportunities, join HSBC and experience the possibilities. Whether you want a career that could take you to the top, or simply take you in an exciting new direction, HSBC offers opportunities, support and rewards that will take you further.
Our Risk and Compliance function plays a critical role in supporting, challenging, and advising across all areas of the business. We establish policies, monitor profiles, and identify and manage forward-looking risk and compliance. We focus on creating an environment that encourages our people to speak up and do the right thing, protecting our customers, the organization, and the integrity of the financial markets in which we operate. As an industry leader, we aim to continue setting standards and evolving to respond to strategic changes.
The purpose of this role is to embed Traded Risk Regulatory Reporting Stewardship and apply Subject Matter Expertise to this activity. This function is responsible for providing risk stewardship, design, and effectiveness testing on Traded Risk activities related to regulatory reporting, covering both Financial and Non-Financial Risk processes. The role holder will also develop our approach to Risk Stewardship in this area and liaise with the Treasury Risk team and the wider Traded Risk team.
As an HSBC employee in the UK, you will have access to tailored professional development opportunities and a competitive pay and benefits package, including private healthcare, enhanced maternity and adoption pay, and a contributory pension scheme.
Key Responsibilities:
* Ensure that the approach to Traded Risk Assurance is appropriately defined and scoped, promoting synergies and efficiencies while securing an optimal control environment.
* Challenge control and risk owners to ensure effective risk management activities, including:
o Providing subject matter expertise, advice, guidance, and effective challenge to Risk and Control Owners;
o Monitoring compliance with minimum requirements applicable to Traded Risk management;
o Awareness of external environment changes, emerging risks, and business strategy changes;
o Collaborating with the business to understand the impact of emerging risks and regulatory changes;
o Supporting the definition of minimum control standards and continuous monitoring expectations;
o Working with the Traded Risk Assurance team for detailed assurance reviews;
o Recommending and challenging Risk and Control Assessment scoping;
o Interacting with regulators on assurance and stewardship matters.
Minimum Requirements:
* Exceptional drive, commitment, and focus on operational excellence.
* Relevant knowledge of Traded Risk practices and control environments.
* Ability to operate effectively in a dynamic environment with multiple outputs.
* Strong interpersonal skills in complex operational settings.
* Knowledge of regulatory compliance procedures, with excellent communication, writing, and influencing skills.
* Professionalism and competency in risk measures, processes, monitoring, and management.
* Experience interacting with regulators, especially in the UK, ECB, Hong Kong, and US.
This role is based in London / Hybrid.
We value diversity and inclusion and are committed to providing an accessible recruitment process. We welcome applications from all backgrounds and will make reasonable adjustments to support your application.
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