Market Risk Control Officer
Guosen Securities (HK) Financial Holdings Co Ltd
Hong Kong, Hong Kong
source : eFinancialCareers Ltd.

Responsibilities :

  • Review and maintain market risk management framework in derivatives business and company’s proprietary trading desk
  • Suggest and conduct regular review on risk parameters
  • Monitoring and reviewing trade transactions across the trading desks and company’s own investment
  • Analyze trading transactions, reviewing risk models and understand what drives trading strategies
  • Monitor and assess market risk in the business to ensure stability of the firm’s risk appetite and identify any issues that require escalation to senior management and provide solutions
  • Liaising with front office to raise risk awareness and review risk associated with new products and trading strategies and comfortable with modeling and structures
  • To perform ad hoc projects (e.g. system migration) as required
  • Requirements :

  • Degree holder or above in Risk Management, Business Management, Statistics, Finance, Economics or related discipline
  • Minimum 1 year experience in market risk management
  • Familiar with derivatives business and company’s proprietary trading desk
  • Good command of written and spoken English and Chinese, fluency in Putonghua
  • Independent, self-initiative and good interpersonal skills
  • Attractive remuneration will be offered to the right candidate. Interested parties please email your full resume with present & expected salary and date of availability to hrm guosen. or via "Apply Now".

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