Job Description
Are you a skilled market risk professional? Join our client fast-growing asset management firm based in Hong Kong, listed on the US stock market, and be a part of their innovative team.
Job Title: Market Risk Manager
Responsibilities:
- Assess and manage market risk exposure related to option trading strategies
- Develop risk models and metrics to evaluate portfolio performance
- Collaborate with traders and portfolio managers to optimize risk-adjusted returns
- Monitor market trends and regulatory changes impacting option trading activities
Qualifications:
- Bachelor's degree in Finance, Economics, or related field
- Proven experience in market risk management within the asset management industry
- Strong understanding of option trading strategies and risk management techniques
- Knowledge of US stock market regulations and compliance requirements
Benefits:
- Competitive compensation package
- Opportunity to work with a dynamic and diverse team
- Professional growth and development opportunities
If you are a proactive and detail-oriented professional with a strong background in market risk and option trading, we invite you to apply for this exciting opportunity.
Click "Apply Now" to apply for this position or call Carmen Ng at +852 3180 4923 for a confidential discussion. All information collected will be kept in strict confidence and will be used for recruitment purpose only.