Assistant / Risk Manager (Hong Kong Branch)
Job No.: 499045
Employment Type: Full time
Departments: Hong Kong Branch
Job Functions: Risk Management
Responsibilities:
- To consolidate and analyse risk data of market/interest/liquidity risks from risk management systems (e.g. Murex, RM) and Bloomberg / Reuters Terminals
- To assist drafting the risk management policies/reports
- To keep track of changes in macro economies, regulatory requirements and business development, analyse its impact on risk management, and propose risk management measures accordingly
- To coordinate implementing risk management projects with global markets business units
Requirements:
- Degree or above, major in Economics, Finance, Computer Science, Engineering, Quantitative Finance, Financial Engineering or relevant professions
- Minimum 2 years relevant working experience
- Professional qualification in CFA, FRM, HKICPA, ACIB, CSTMP or equivalent will be an advantage
- Familiar with MS Office software, such as MS Word, Excel and PowerPoint
- Experience with risk management systems (e.g. Murex, RM, etc.) is highly preferable
- Knowledge of Global Financial Market and Treasury Development is an added advantage
- Good command of both written and spoken English and Chinese. Mandarin speaking is required
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