The Job Post is Expired...

(Senior) Product Control Manager (Equity & Interest Rate)

Bank of China

View Expired Job Detail

You may also like

Asia Private Equity & Real Estate Product Manager - HK

  • Accountancy
  • Corporate Communications
  • +7 skills
  • +8 skills

SOFTWARE TESTER (software engineering team) – mfg / electronic control / automation / iOT / HAV product/5 days

JPC Texson
  • Application Development
  • Life Insurance
  • +3 skills
  • +4 skills

SALES / MARKETING / BUSINESS DEVELOPMENT MANAGER – mfg / electronic control / automation / iOT / HAV product/5 days

JPC Texson
  • Business Development
  • CRM
  • +4 skills
  • +5 skills

BUSINESS DEVELOPMENT MANAGER / Sales & Marketing Manager – mfg / electronic control / automation / iOT / HAV product/5 days

JPC Texson
  • Business Development
  • CRM
  • +4 skills
  • +5 skills

Technology - Software Engineer C++ - Real Time Interest Rate Risk & PnL Systems, Associate - Hong Kong

Morgan Stanley
  • Application Development
  • C++
  • +4 skills
  • +5 skills

(Senior) Product Control Manager (Equity & Interest Rate)

Intermediate (3-6 years)


Technical Skills

  • Accountancy
  • Audit
  • Business Development
  • Economics
  • Equities
  • Financial Engineering
  • Quantitative Finance
  • Reconciliations
  • Risk Management
  • SQL
  • Treasury
  • Valuation
  • VBA

Job Description

(Senior) Product Control Manager (Equity & Interest Rate)

Location: Hong Kong

Responsibilities :

  • Leading the team to attain effective control and valuation of equity and interest rate related products under trading book, such as daily valuation and verification, P&L analysis, position reconciliation and market conformity checking
  • Coordinate or participate treasury business development or related system enhancement projects
  • Strengthen product control functions, streamline or revamp work flow and maintain related policy and procedures
  • Communicate internally and externally to improve analysis quality

Requirements :

  • University graduate with degree in Financial Engineering, Quantitative Finance, Risk Management, Finance, Economics, Accounting or related disciplines.  Further professional qualification such as ACCA, CPA, CFA, FRM would be a plus
  • 4-6 year of working experience in treasury products (equity and interest rate) and/or product control, related experience in South East Asia is an advantage
  • Proficiency in financial instruments & market operations
  • Independent, strong analytical abilities and communication skill, and good time management with supervisory experience
  • Sound Knowledge and experience in VBA, SQL or related programming languages is an advantage
  • Excellent written and oral English and Chinese, Mandarin preferred
Employment TypeFull-time
Career LevelIntermediate (3-6 years)
Education LevelBachelor
QualificationCertified Financial Risk Manager (FRM), Certified Public Accountant (HKICPA), CFA Level III / CFA Charterholder, Chartered Certified Accountant (ACCA)
LanguageEnglish, Cantonese, Mandarin (Putonghua)
Bank of ChinaInvestment Banking and Brokerage

24/F Bank of China Tower 1 Garden Road Hong Kong

directions_walk10 mins walk from Admiralty Station