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Non-Market Risk - Contract

  • Find out more about the job
  • Find out more about the job

Market Risk Manager, VP - Treasury / FX



Job Description

about the company

Our client is a European Corporate & Investment Bank with a strong presence in the region.
about the job
  • You will supervise and contribute to risk and P&L monitoring on relevant product line activity in Asia
  • Ensure risk and P&L analysis are performed and immediately alert regional market risk team on any important production issues or anomalies/atypical events
  • Analyze market limit break and escalate/follow-up with trader
  • Reconcile and investigate P&L and position discrepancy
skills & experiences required
  • Bachelor's degree or above in risk management, finance, quantitative finance, statistics, or mathematics
  • At least 5-7 years of relevant experience in managing product control or market risk team; experience in valuation, product control or market risk function
  • In-depth knowledge of fixed income markets with good understanding on the mechanics of financial products typically on risks and P&L treatment
  • Good understanding of financial products
  • Proficient in Microsoft Excel, VBA programming, and SQL scripting
  • Strong communication skills in fluent English and ideally, Chinese languages (Cantonese and Mandarin)
  • Excellent project tracking and team management experience

To apply online, please click on the link below. Alternatively, for a confidential discussion please contact Rouella Landicho on + 852 2232 3479 or email: [email redacted, apply via Jobable]

Employment TypeFull-time
Education LevelNone
LanguageEnglish, Cantonese
RandstadHuman Resources and Recruitment

50 Connaught Road Central, 5th Floor, Agricultural Bank of China Tower

directions_walk8 mins walk from Central Station