About Our Client
Our client is a leading Chinese investment bank, currently looking for a market risk specialist with 5+ years experience, and someone strong in asset management / funds / principal investment business. This role pays up to HKD40,000 per month.
About The Role
Reporting into the Market Risk team lead, you will oversee the business' asset management funds and conduct restriction checking, oversee trading activities, validate fund's NAV, analyse P&L attribution, report VaR and stress testing results, also address risk issues and communicate with relevant parties as required. You will contribute to the design and maintaintenance of market risk models and risk limit setting, as well as the refinement of market risk management policies and procedures.
The ideal candidate should be a degree holder in risk management or relevant disciplines, with more than 5 years market risk experience and someone strong in asset management, funds and/or principal investment business. Mandarin will be required for this role, and this role pays up to HKD40,000 per month.
Click "Apply Now" to apply for this position or call Christina Lau at +852 3180 4934 for a confidential discussion. All information collected will be kept in strict confidence and will be used for recruitment purpose only.