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Business Strategy Manager (Derivative Models)
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職位編號:
498604
聘用性質:
全職
部門:
金融市場管理
工作類別:
投資管理, 產品開發及管理
Responsibilities:
Assist business units (trading book and banking book) to take the lead of the derivative models life cycle in treasury systems, which covers multiple asset classes e.g. FX, Interest Rate, Equity, Precious Metal, Credit Derivatives.
Act as model owner which involves the following tasks:
Drive the implementation of derivative models on 3
rd
party treasury systems (e.g. Murex, Bloomberg, Numerix)
Assess the appropriateness of model selected by vendors
Conduct model testing for any model changes or implementations by vendors
Participate in model validation process which is conducted by independent parties
Submit models for internal approvals
Assess model risk regularly
Conduct model backtesting and risk monitoring
Liaise with back office departments such as Risk Management, Finance on the proposed derivative models in treasury systems
Initiate model validation activities and tackle related issues found
Draft and maintain relevant model documents, policy and procedures
Lead the junior staff to accomplish the model owner’s duty
Requirements:
Bachelor Degree or above in engineering, mathematics, statistics, physics, or other quantitative subjects
At least 5 years related experiences in banking or similar industry
Knowledge of financial market derivatives products
Strong knowledge of derivative models in valuation / risk sensitivities
Strong analytical mind
Willing to take ownership of his/her work
Good command in spoken and written English and Chinese, including Putonghua
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職位名稱
部門
Business Strategy Manager (Derivative Models)
金融市場管理
事業發展機會
職位名稱
部門
Business Strategy Manager (Derivative Models)
金融市場管理
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