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Market Risk Analyst

Hong Kong  |  Permanent

Published 20/08/2008

  • Attractive salary
  • Multicultural environment

About Our Client
Recognized as one of the leading banks in the global banking industry, our client is developing their business in Asia rapidly and looking for a self-motivated individual to join their team in Hong Kong

Job Description

You will be responsible for:

  • Performing stress testing and scenario analysis to evaluate firm’s market risk exposure
  • Developing risk management models and measurement methodologies for different trading portfolios
  • Reporting irregularities of trading portfolios
  • Participating in the formulation of market risk policy and establishing control framework

The Successful Applicant

  • Degree holder in Risk management, Finance or related disciplines
  • Minimum of 6 years of experience in market risk management
  • Strong product knowledge of equities derivatives and the Asian equity market
  • Excellent knowledge of risk measurement techniques such as Greeks, stress test and scenario analysis
  • Proficiency in Bloomberg and use of Excel VBA and Access
  • Excellent command of English and Chinese

What's On Offer
Our client offers outstanding remuneration package and focuses on career development of their employees

Apply for this job
Apply online using the form below or phone Jessy Wong  on  + 852 2530 6100  quoting jobref  H294530

Apply for this job

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