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Assistant Manager, Market Risk Management, Risk

Open 33d

Key Areas of Responsibilities

Produce risk reports for EQD, FICC, and other business lines on daily basis, and perform preliminary check on significant movements and breaches.

Produce overall risk reports on regular basis (weekly/monthly) for senior management, and/or as required by Head Quarter.

Produce Add-hoc risk report as required.

Work with risk model team to understand the risk models and parameter settings, to be able to explain the risk numbers.

Work with risk IT team (BJ) on the risk data maintenance.

Liaise with PC/Ops/IT for any booking/data issues.

Liaise with front office to understand the business models and booking systems.

Participate in various projects as required.

Requirements

Bachelor degree (above) holder in Risk Management / Finance / Economics / Financial Engineering / Mathematics/ Information Technology or related discipline(s).

2-5 years relevant experience in market risk reporting.

Very good knowledge of financial products, as well as their risks.

Solid background on quantitative analysis and computer skills.

Very good knowledge of Database (e.g. SQL) and other coding languages (e.g. VBA, Python)

Very good communication and interpersonal skills, can work under pressure.

Excellent command of spoken and written communications in English & Chinese (including Putonghua).

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