Manager, Market Risk

Location: Hong Kong Island, Hong Kong
Contract Type: Permanent
Specialisation: Banking & Financial Services
Salary: Negotiable
REF: BBBH239368_1578040839

Responsibilities:

Conduct analysis and review risk exposures to senior management

Monitor trading limits and exposure limits in accordance to the Bank's standards

Identify business processes and participate in ad hoc projects as required

Provide support in system building and monitor risk indicators in global markets

Requirements:

Uinversity degree from a related discipline

Professional certification is preferred (CFA, FRM etc.)

Familiar with treasury products

Storng programming skills in VBA or Python etc.

Well versed in spoken and written Chinese and English