Market Risk Manager - Expanding Investment Firm Description Responsibilities : Monitor and analyze Fixed Income / Equity trading portfolios and identify market risks Coordinate the approval for trading requests Conduct portfolio reviews to identify risk developments or concentrations Develop / Review the policy and procedures for Fixed Income / Equity trading Conduct stress testing and scenario analysis The Successful Candidate : University graduate or equivalent majoring in Business Management / Accounting / Economics / Finance / Financial Engineering Minimum of 5-
6 years relevant market risk management experience Solid understanding of financial markets and risk monitoring methodology (e.
g. VaR, Duration, DP01, etc.) Good command of written & spoken English and Mandarin languages Country Hong Kong Company Financial Services Industry Salary US$70,000 -
US$90,000 Working Hours Full-Time Contract Permanent Categories Operational / Credit / Market Risk Mgt Industries null