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Job Title: Associate, Market Risk ?Financial Products and FICC
Ref.#: 5302
Location: HongKong
Company Description:
3 years in market risk in investment bank, knowledgeable on FICC and financial products
Requirements and Application Details:
    Our client is a fast growing prime PRC investment bank in Hong Kong.

    The job

    Report to the Head of Risk
    Responsible for market risk and liquidity risk, stress-testing and scenario analysis
    Maintain liaison with the Investment Management Department on fixed income portfolio;
    Assist in risk management oversight for subsidiaries and JVCo
    Maintain liaison with Head office in the PRC on risk management;
    Daily report on limit excess and market risk metrics on funds and fixed income portfolio

    Focus on FICC, Fixed Income products and businesses within the investment bank
    Develop quantitative models

    Review existing limit usage and market risk policy on fixed income desk
    Highlight potential risks on new business and strategy to investment team

    The requirements

    - At least 3 years on risk management in a sizeable fund house or investment bank.
    - Holder of a good degree in mathematics, quantitative analysis, physics or equivalent with a professional qualification like FRM, CFA, etc
    - Good literacy of computer application, ability to write simple program for risk analysis
    - Prefer those who have experience in using Bloomberg applications on risk management or Imagine
    - Excellent command of Chinese and English. You must speak Putonghua.

    Please send cv in MS Word format to Thomson Ng, email, [email protected] and cc [email protected]
Remark Field:
Publish Date: 2019-05-03