Trader / Risk Manager



Technical Skills

  • Credit Analysis
  • Credit Derivatives
  • Credit Risk
  • FX

Job Description

Trader / Risk Manager

Location: Hong Kong

As part of the REM team, you will:
- Hedge the credit risk in the market by trading credit derivatives
- Price up front charges in trades in order to cover credit valuation adjustments (CVA), debit valuation adjustment (DVA) and funding value adjustment (FVA)
- Take ownership, maintain and develop the existing pricing and risk tools with the help of IT
- Liaise with the sales and structuring staff in the region and opine on credit risk related matters
- Engage in default resolution process with business and legal in the event of client defaults
- Interact with various segments (Credit control, FX and Rates business, Finance, Operations, IT) to optimize processes related to credit risk
- Facilitates the documentation requirements for SIMM and handle documentation risk in the region

Employment TypeFull-time
Education LevelNon-specified
UBSInvestment Banking and Brokerage

Two International Finance Centre, 8 Finance St, Central

directions_walk11 mins walk from Central Station