Senior Market Risk Manager, VP - Credit / Fixed Income

Randstad Hong Kong
Hong Kong
Mar 06, 2019
Mar 08, 2019
Job Function
Industry Sector
Finance - General
Employment Type
Full Time
job description

about the company

Our client is a leading Global Corporate & Investment Bank with a strong presence in APAC.

about the job

  • You will review desk trading and hedging activity and understand market behavior
  • Understand P&L drivers, identify and analyse risk exposures
  • Proactively escalate key risk concerns, challenge the business on risk issues
  • Ensure accurate risk and stress reporting
  • Maintain good communication with desk and other support partners
  • Generate ideas to improve the risk process
  • Understand relevant market risk and valuation models and relevant regulatory requirements
  • Review new product proposals
  • Review new trade and limit requests

skills & experiences required

  • Quantitative degree or post graduate qualifications
  • At least 8-10 years of relevant front office, market risk or trading experience with strong technical knowledge of treasury products, fixed income, global markets business
  • Strong communication and interpersonal skills
  • Excellent commercial acumen and proven decision making, interpersonal skills, in particular influencing and communication skills

To apply online, please click on the link below. Alternatively, for a confidential discussion please contact Rouella Landicho on + 852 2232 3479 or email:

market risk, risk management, 2nd line of defense, rates, FX, credit, treasury

CFA or FRM qualification - ideal

educational requirements
Bachelor Degree

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