1.Conduct detailed climate risk assessments for the bank’s asset portfolio.
2.
Analyze climate data to identify potential physical, transition, and liability risks.
Develop climate risk scenarios and stress tests.
Policy and Strategy Development including;
3.
Assist to set up the Bank’s climate risk management and ESG governance and review relative policy.
4.
Implement Standardized Climate Scenario Exercise bank wide.
5.
Prepare climate risk management disclosure according to B15 6.
Collect, review and streamline data for climate risk management bank wide.
7.
Assist to develop climate risk management and ESG strategy 8.
Assist on risk planning and monitoring 9.
Assist to conduct market research regarding but not limited to climate risk/credit risk 10.
Other ad hoc work assigned by supervisor from time to time
系统翻译:
1.对银行的资产组合进行详细的气候风险评估。
2.
分析气候数据,识别潜在的物理风险、转型风险和责任风险。
制定气候风险情景和压力测试。
政策和战略制定,包括;
3.
协助建立银行的气候风险管理和 ESG 治理并审查相关政策。
4.
在银行范围内实施标准化气候情景演习。
5 .
根据 B15 准备气候风险管理披露 6.
收集、审查和简化全行气候风险管理数据。
7.
协助制定气候风险管理和 ESG 战略 8.
协助风险规划和监控 9.
协助进行但不限于气候风险/信用风险的市场研究 10.
主管不时交办的其他临时工作
Bachelor’s degree in Environmental Science, Climate Studies, Finance, Risk Management, or a related field.
Master’s degree or professional certification (e.g., CFA, FRM) is preferred.
Minimum of 5 years of experience in risk management, preferably with a focus on climate or environmental risk.
Experience in the financial services industry is highly desirable.
Be familiar with OSFI B15 or other industrial country ESG and climate risk management Advanced data processing and analytic skill including excel & Python, SQL ,
系统翻译:
环境科学、气候研究、金融、风险管理或相关领域学士学位。
硕士学位或专业认证(例如 CFA、FRM)优先。
至少 5 年风险管理经验,最好关注气候或环境风险。
非常需要金融服务行业的经验。
熟悉 OSFI B15 或其他工业国家 ESG 和气候风险管理先进的数据处理和分析技能,包括 Excel 和 Python , SQL ,