about the company.
Our client is a European Corporate and Investment Bank
about the job.
- You will monitors risk and P&L on different product lines
- You will perform analysis on P&L and risk indicators and ensure the information accuracy
- You will coordinate with Finance, reconciles and investigates P&L and position discrepancy
- You will perform ad-hoc analysis on risk and P&L as required by senior risk managers
skills & experiences required.
- Bachelor's degree in Risk Management, Finance, Statistics or Mathematics or related discipline
- At least 2 years of relevant experience in risk and control
- Good knowledge on financial products on risks, valuation and P&L treatment
- Proficiency in Word, Excel, PowerPoint, VBA and SQL
To apply online, please click on the link below. Alternatively, for a confidential discussion please contact Lily Tu on + 852 2232 3472 or email: [email redacted, apply via Jobable]
|Language||English, Cantonese, Mandarin (Putonghua)|