Market Risk Manager
Hong Kong, Hong Kong
  • Market Risk Manager Description 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 Country Hong Kong Company MNC Salary From US$40,000 Working Hours Full-

    Time Contract Permanent Categories Operational / Credit / Market Risk Mgt Industries null

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