Market Risk Manager (Derivative Risk Management) - Stationed in China

Employer
Dah Sing Financial Group
Location
Hong Kong, Hong Kong
Salary
Competitive
Posted
May 01, 2019
Closes
May 22, 2019
Ref
5823609
Job Function
Risk Management
Industry Sector
Finance - General
Employment Type
Full Time
Education
Bachelors
In this role, you will station in China and responsible for Derivative Risk Management under Risk Management Department of Dah Sing Bank (China).

Main Responsibilities:
  • Be responsible for the application of Derivative License
  • Establish the management framework for Market risk or Treasury risk of the Bank, set up Market Risk scenario analysis and limit
  • Support Risk Department in monitoring and managing Market or Treasury risk of the Bank
  • Perform valuation of financial products, prepar risk management reports, monitor trading activities, perform risk analysis and model verification
  • Liaise with other units internally and externally on all treasury-related issues


To meet the challenge, you should have the following qualifications and attributes:
  • Degree holder in Risk Management, Finance, Business Administration, Accounting or related areas; CFA or FRM holder has priorities.
  • Minimum of 5 years of relevant experience in market or treasury risk management
  • Profound knowledge on banking, treasury and derivative products
  • Familiar with financial system operations such as Comstar, Kondor+, Bloomberg, Fenics, OPICS, etc
  • Hands-on IT and programming experience with MS Access, VBA & SQL


Please note that only shortlisted candidates will be notified.

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