Market Risk Manager / Senior Manager
About the job
Our Client is a Chinese bank in Hong Kong. It is now inviting high caliber professionals to join their Banking Group
Responsibilities
- Assist team head on market risk management and related work. Aim to control the market risk within acceptable and expected level
- Formulate and implement the management systems on branch market risk
- Perform daily market risk management work, including identifying, monitoring, and reporting market risks
- Report excess events according to the internal policy & procedures
- Maintain the data of the responsible middle-office risk management system
- Provide and support quantitative analysis work and be responsible for the verification of valuation and price models
Requirements
- Bachelor degree or above in business administration, risk management or related majors, majoring in financial engineering or statistics will be an advantage
- Possess financial risk manager or related professional qualifications
- Strong knowledge on risk management requirements of regulatory agencies, general risk management models, quantitative methods, reporting methods and policy writing
- Understand the functions and operations of information systems commonly used in the market
- Solid experience on the operation of financial markets and the properties of capital products
- Familiar with excel (including VBA program) or other programs that can assist in data integration or report preparation
- Applicants with experience in market risk management of Chinese banks is a plus
Application
Competitive package will be offered to the right Candidates. If you are interested in the job, please email us your full resume with current and expected salary in WORD format to info2@megajobshr.com.
(You may use your own email program,quoting the job title, to email us)
All applications will be treated in strict confidence and all personal data collected will be used for recruitment purposes only.