Market & Liquidity Risk M/SM - Chinese Corp Bank

Market & Liquidity Risk M/SM - Chinese Corp Bank

Your new role

  • Lead a team to establish and review the market risk & liquidity risk policies and procedures manuals.
  • Review and develop market & liquidity risk monitoring and stress test reports, as well as ad-hoc market risk exposure and position reports for local management and Head Office upon request.
  • Advise senior management and relevant business units on market risk issues
  • Manage mark to market and revaluation on fixed income products and other financial instruments.
  • Participate in treasury and other banking systems implementation projects.
  • Participate in new product development process.
  • Degree holder or above with major in Risk Management, Financial Engineering or any Science disciplines, with CFA and FRM qualification is an advantage.
  • Minimum 6 years’ experience in market risk management with exposure to both plain vanilla and structured products.
  • Sound knowledge and experience in Macro, VBA, SQL, VaR and related risk management tools

What you'll get in return

- Attractive remuneration package

- Harmonious working environment

- Career Progressive

What you need to do now

If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call Natalie Choi at +852 2230 7485 now.

If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion on your career.

Summary

Job Type
Permanent
Industry
Banking & Financial Services
Location
HongKong
Specialism
Banking and Financial Services
Ref:
1252384

Talk to a consultant

Talk to Natalie Choi, the specialist consultant managing this position, located in Hong Kong
6604-06,66/F, ICC, 1 Austin Road West, West Kowloon

Telephone: +85222307485

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