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Market Risk Manager Bank

Location Hong Kong, Hong Kong
Posted 25-June-2019
Market Risk Manager (Bank)
[Description] Assist in identifying, measuring, monitoring and reporting market risk of the trading activities in the bank. Assess the market risk of the new treasury products, establish and maintain the market risk management systems. Support the department in developing risk management systems, preparing regular risk management reports and performing ad hoc projects upon request. Assist in model validation and enhancing the market risk management framework to compliance with regulatory requirements.


Degree holder in Risk Management, Finance, Statistics or relevant discipline; or Professional qualification in CFA/FRM/PRM
5 years relevant experience in banking or financial markets
Good understanding in treasury products and market risk management
Knowledge in market risk systems, e.g. Kondor+, Risk Manager, Bloomberg, Reuters, Opics, is preferable
Strong in PC and programming skills such as SQL, VBA, Excel and Chinese word processing is an advantage
Sound knowledge in the regulatory requirements and development on market risk perspectives, with hands-on experience in latest risk management development
Strong analytical mind, independent, good problem-solving and multi-tasks handling ability
Good communication and interpersonal skills, with good report-writing skills
Proficient in both spoken and written English and Chinese, fluent in Putonghua is preferable
Salary details
USD 50000.00 to USD 80000.00

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