Market Risk Manager - Securities firm ( SFC Type 1249)
|Location:||Hong Kong, Hong Kong|
|Specialisation:||Banking & Financial Services|
Our client is a well-known Securities firm(SFC Type 1,2,4,9) with a strong presence in Hong Kong. They have vast streams of businesses and continue to grow rapidly.
Due to expansion, they are now seeking for high calibre candidates to join their Risk team.
- Conduct analysis to review risk exposures withreporting and escalation to senior management team
- Enhance the model risk management framework including model validation and annual model review
- Represent risk management department in new system assessing and onboarding process
- Work with business partners to ensure the risk management regime is properly understood and impacts are documented and communicated
- Minimun 5 years of work experience. Preferably with banks or securities companies
- Coding skill like Python, R, C++, VBA is a plus
- Strong verbal and written communication skills. Good Chinese reading, writing and speaking skills (Mandarin included)
Interested parties, please contact Winnie Shi @ (852) 3103 4321 / email@example.com or APPLY NOW by clicking the button below