Responsibilities
Monitoring the trading risk / liquidity risk, as well as update risk management policies & procedures.
Prepare periodic risk reports to the internal stakeholders and / or senior management.
Assisting in providing compliance issues.
Perform ad-hoc duties and projects as assigned.
Requirements
University graduate in Risk, Economics or Computer Science.
Minimum 5 years’ working experience, hold of FRM is an added advantage.
Familiar with Bloomberg. Proficiency in VBA, Macros, SQL related analytic tools.
An ability to think logically and analyse complex data.
Fluency with written and spoken English and Chinese.
报告这项工作
申請表