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Manager - Market Risk

  • Location: Hong Kong
  • Salary: Negotiable per annum
  • Job Type:Permanent

Posted 29 days ago



We are working with a wholesale bank who are looking to hire a Market Risk Manager. The candidate will be responsible for identifying, measuring and monitoring market risk of trading book and banking book's fixed income / interest rate / FX business.



Job Highlights

  • Perform ad hoc tasks or projects as assigned
  • Assist in improving or automating procedures
  • Degree or above in Finance, Risk Management


Job Description

Responsibilities
  • Identifying, measuring and monitoring market risk of trading book and banking book's fixed income / interest rate / FX business.
  • Prepare daily risk reports and analysis to related functions and management.
  • Assist in improving or automating procedures in risk reporting and controls.
  • Participate in model validation and enhance model validation policy framework.
  • Support in risk management system upgrade or enhancement and perform User Acceptance Test.
  • Perform ad hoc tasks or projects as assigned.
Requirements
  • University degree or above in Finance, Risk Management, Accounting, Financial Engineering or other related discipline.
  • 3-5 years experience in Banks or Financial institutions, specialized in market risk management or product control. Candidates with less experience will be considered as a junior post.
  • Experienced in fixed income, interest rate, FX, and/or related derivatives.
  • Professional qualification in CFA, FRM would be an advantage.
  • Proficiency in MS office applications and VBA.
  • Good command of written and spoken Chinese (Cantonese and Mandarin) and English.
  • For those with more working experience will consider the role of managerial grade

Argyll Scott Asia is acting as an Employment Agency in relation to this vacancy.