The common responsibilities for this position include supervising intermediaries' business conduct, financial, and operational risks, particularly for hedge fund managers, mutual fund managers, virtual asset fund managers, retail brokers, and credit rating agencies. The Manager will proactively identify and assess market-wide, industry, and firm-specific risk issues, monitor global and local policy and market developments, and gather market intelligence from intermediaries. Additionally, the Manager will evaluate and supervise virtual asset trading platform operators as needed, ensuring compliance with relevant regulations and best practices, and contribute to the assessment of sectoral risks.
The percentages next to each skill reflect the sector’s demands in these respective skills. E.g., 30% means this skill has been listed in 30% of all the job postings in this sector.
The skills distribution tells you what specific skill sets are in demand. E.g., Skills with a distribution of “More than 50%” means that these skills are wanted in more than 50% of the job postings.
Job classifications that have advertised a position
Academic degree required as indicated by all job postings
Job subclassifications that have advertised a position