Manager, Market Risk Management | Banking
Osmium Consulting Group
Hong Kong, Hong Kong

Responsibilities :

  • Responsible for performing Market Risk management functions, including risk identification, measurement, monitoring and reporting, as well as risk analysis.
  • Perform the day-to-day market risk limit monitoring and reporting to ensure the treasury and
  • investment activities are operated within the approved risk policies and controls
  • Review market risk management policies, limits, models and methodologies to ensure meeting
  • market standards and fulfilling regulatory requirements
  • Perform mark-to-market valuation and ensure the integrity of valuation process meeting the fair value guidance and market standards
  • Investigate and report any violation of approved risk policies and controls, and ensure remedial actions are properly followed up
  • Liaise with Treasury, Finance and other relevant departments on market risk related projects and Issues
  • Job Requirements :

  • University degree in Finance, Risk Management or equivalent holder of CFA or FRM an added advantage
  • At least 5 year experiences in market risk management in treasury related areas in the banking industry
  • Hands-on experience in trading and risk management systems, e.g. Kondor+, Fenics, Bloomberg, etc.
  • Proficient in Excel spreadsheet and programing tools, e.g. SQL, VBA, SAS, Python, etc.
  • Good knowledge in treasury markets, products, regulatory requirements, systems and accounting standards
  • Strong interpersonal skills and a good team player
  • Candidate with less experiences will be considered as Assistant Manager, Market Risk Management
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