Market Risk - Investment Banking
- Employer
- Osmium Consulting Group
- Location
- Hong Kong, Hong Kong
- Salary
- Open
- Closing date
- Dec 21, 2021
View more
- Job Function
- Banking
- Industry Sector
- Finance - General
- Employment Type
- Full Time
- Education
- Bachelors
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Responsibilities
• Review and improve risk management policy and risk management framework
• Contribute to the development of risk system and improving current process byways of automation
• Perform regular risk assessment from both market risk and credit risk perspective
• Analyse current risks and identifying potential risks
• Conduct risk analysis and due diligence on new product/business initiatives • Work with the front office and business lines to identify, assess and mitigate risk
• Participate in investment decision meeting of various businesses including margin financing, structured financing, asset management, etc
• Generate risk reports and highlight the potential risk to various stakeholders
• Communicate with headquarter and group officers
Requirements
• Degree holder in Risk Management, Finance, Mathematics or relevant disciplines/CFA / FRM
• Minimum 3 years' Market Risk/Risk management Experience in finance industry/securities brokerage
• Ability to conduct and manage through the end-to-end credit analysis and reporting cycle independently for financial institutions
• Strong product knowledge on Global Market products
• Strong analytical and problem-solving skills
• Presentable with strong communication skills
• Hands-on experience in SQL/Python/VBA
• Good command of both written and spoken English and Putonghua
• Holders of IANG visa are welcome
• Review and improve risk management policy and risk management framework
• Contribute to the development of risk system and improving current process byways of automation
• Perform regular risk assessment from both market risk and credit risk perspective
• Analyse current risks and identifying potential risks
• Conduct risk analysis and due diligence on new product/business initiatives • Work with the front office and business lines to identify, assess and mitigate risk
• Participate in investment decision meeting of various businesses including margin financing, structured financing, asset management, etc
• Generate risk reports and highlight the potential risk to various stakeholders
• Communicate with headquarter and group officers
Requirements
• Degree holder in Risk Management, Finance, Mathematics or relevant disciplines/CFA / FRM
• Minimum 3 years' Market Risk/Risk management Experience in finance industry/securities brokerage
• Ability to conduct and manage through the end-to-end credit analysis and reporting cycle independently for financial institutions
• Strong product knowledge on Global Market products
• Strong analytical and problem-solving skills
• Presentable with strong communication skills
• Hands-on experience in SQL/Python/VBA
• Good command of both written and spoken English and Putonghua
• Holders of IANG visa are welcome
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