Job Description
A top tier Chinese securities firm is looking for high calibres to join the Market Risk team. They are looking for a Manager/Senior Manager with all-rounded product knowledge and strong programming skills to join the team.
Responsibilities
- Manage and report the market risk across business lines including FICC, Equity and Asset Management.
- Conduct regular risk analysis and calculation on risk indicators, VaR, stress testing and sensitivities.
- Participate in system implementation, upgrade and UAT.
- Perform market risk analysis on new business and products and advise on risk control policy and limit assessment.
Requirements
- Degree holder in with at least 3 years of experience in Risk Management in in investment bank, securities or asset management firms.
- Good product knowledge of risk management in equities, fixed incomes and derivatives portfolios and other related trading risks.
- Good programming knowledge in VBA or R and skilled in Excel for daily risk control reporting.
- Good command of written and spoken English and Chinese.
For more information, please feel free to contact Calvin Chan at +852 3695 5186 or send your CV to cchan<at>argyllscott.com.hk
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