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Climate Stress Testing Manager

https://www.hsbc.com Logo

HSBC

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Location:
Hong Kong, Central

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Category:
Finance

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Contract Type:
Employment contract

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Salary:

Not provided

Job Description:

We are currently seeking a high calibre professional to join our team as a Climate Stress Testing Manager. The role sits within the Capital Management and Stress Testing (CMST) team, a part of the Global Treasury function. Responsibilities include supporting climate stress testing and scenario analysis, delivering insightful analysis, preparing commentary for senior stakeholders, and integrating climate into key planning exercises. The position requires solid experience in finance or risk-related fields, project management, and knowledge of macroeconomic concepts, as well as stress testing expertise.

Job Responsibility:

  • Support the end-to-end delivery of climate stress testing and scenario analysis for regional and country-level exercises including governance processes
  • Deliver timely, accurate and thoughtful analysis based on the interpretation of climate stress test results, facilitating decision-making for strategic planning and risk management
  • Prepare and deliver insightful commentary to senior management, Risk, Business, senior management, regulators and other relevant stakeholders, highlighting key findings and implications
  • Establish strong, effective and collaborative working relationships within the team and with other stakeholders across Finance, Risk and Business
  • Perform ad hoc analyses and support regional stress testing activities, and contribute to the development of climate change stress testing and scenario analyses capabilities (e.g., enhance existing models, support climate scenario expansion)
  • Integrate climate into key planning exercises (e.g., ICAAP, planning and forecasting)

Requirements:

  • Solid experience in a Finance or Risk-related field
  • Experience in managing large scale projects with multiple stakeholders
  • Experience in stress testing and scenario analysis, climate / ESG risk management, or sustainable finance preferred
  • Ability to clearly and concisely articulate complex concepts in a concise and logical way, with an understanding of the 'story behind the numbers'
  • Good understanding of macroeconomic concepts
  • Holder of a relevant professional qualification such as CFA, FRM, or ACCA / equivalent is a plus
  • Understanding of wholesale credit risk is a plus

Nice to have:

  • Experience in stress testing and scenario analysis, climate / ESG risk management, or sustainable finance preferred
  • Holder of a relevant professional qualification such as CFA, FRM, or ACCA / equivalent is a plus
  • Understanding of wholesale credit risk is a plus
What we offer:
  • Continuous professional development
  • Flexible working
  • Opportunities to grow within an inclusive and diverse environment

Additional Information:

Job Posted:
September 10, 2025

Expiration:
September 24, 2025

Employment Type:
Fulltime
Work Type:
Hybrid work
Job Link Share:
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