Senior Associate / Vice President -Risk Management Department
- Employer
- Yue Xiu Securities Holdings Limited
- Location
- Hong Kong, Hong Kong
- Salary
- Salary negotiable
- Closing date
- Jan 4, 2022
View more
- Job Function
- Risk Management
- Industry Sector
- Finance - General
- Employment Type
- Full Time
- Education
- Bachelors
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We offer attractive remuneration package ( double pay plus discretionary bonus ), 5-day work, competitive fringe benefits ( wedding leave, body check, group medical insurance, dental insurance etc. ) and excellent career development opportunity to the right candidate.
Responsibilities
1. Oversee the credit risk management of the margin financing business;
2. Perform daily margin control function and monitor the client's risk exposure;
3. Prepare detailed credit risk assessment on margin financing transactions;
4. Review and update risk management procedures and policies;
5. Assist the Head of Risk to improve the overall credit risk management framework of the firm;
5. Perform ad-hoc projects as assigned.
Requirements
1. Bachelor's degree in Finance, Economics, Accounting or relevant discipline is preferred;
2. Professional qualification in CFA/ FRM / PRM is a plus;
3. At least 5 years margin control experience, preferably in Securities Firms;
5. Strong analytical, presentation and interpersonal skills;
6. Capable and willing to work under pressure and tight time frames;
4. Proficient in MS Office, Chinese word processing is required;
7. Proficiency in English, Cantonese & Mandarin;
Interested parties please send CV, to the Human Resources Department by clicking "Apply Now".
Applicants not invited for interviews within six weeks may consider their applications unsuccessful. Our Company is an equal opportunity employer. Personal data collected will be used for recruitment purpose only.
All information provided will be treated confidentially.
Responsibilities
1. Oversee the credit risk management of the margin financing business;
2. Perform daily margin control function and monitor the client's risk exposure;
3. Prepare detailed credit risk assessment on margin financing transactions;
4. Review and update risk management procedures and policies;
5. Assist the Head of Risk to improve the overall credit risk management framework of the firm;
5. Perform ad-hoc projects as assigned.
Requirements
1. Bachelor's degree in Finance, Economics, Accounting or relevant discipline is preferred;
2. Professional qualification in CFA/ FRM / PRM is a plus;
3. At least 5 years margin control experience, preferably in Securities Firms;
5. Strong analytical, presentation and interpersonal skills;
6. Capable and willing to work under pressure and tight time frames;
4. Proficient in MS Office, Chinese word processing is required;
7. Proficiency in English, Cantonese & Mandarin;
Interested parties please send CV, to the Human Resources Department by clicking "Apply Now".
Applicants not invited for interviews within six weeks may consider their applications unsuccessful. Our Company is an equal opportunity employer. Personal data collected will be used for recruitment purpose only.
All information provided will be treated confidentially.
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