Market Risk Manager

Location
Hong Kong
Salary
Attractive
Posted
16 Aug 2018
Closes
25 Aug 2018
Ref
4348323
Hours
Full time
Experience level
Manager

Key Responsibilities:

  • Assist in risk management projects
  • Measure, maintain, monitor and report market risk control limits
  • Measure and generate daily P&L report
  • Provide valuation and market risk measurement on different financial products
  • Report any exceptions on limits within the scope of Market Risk Control function
  • Liaise with Treasury, Financial Control and Settlement on various issues relating to Treasury
  • Assist the Head of Market Risk Management in drafting policies and procedure manuals
  • Provide ad hoc support and analysis on daily business and operation needs


Key Skills:

  • Around 3 years experience in Market Risk Control or Management; Treasury Middle Office or Valuation Team
  • University degree majoring in Finance, Statistics, Financial Engineering, Risk Management or equivalent
  • Qualification of any other job related professional bodies holder are advantages such as FRM, PRM or CFA
  • Experience in system transformation project (eg. Murex) is an advantage
  • Excellent in MS Office, including VBA programming skills
  • Knowledge on data service systems (Bloomberg, Reuters)
  • Knowledge on valuation skills on treasury products
  • Good command of both spoken and written English and Chinese


Company Overview:
This is a leading bank with a strong presence in Asia Pacific.

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