Responsibilities:
- Generate and review comprehensive risk reports prepared by junior staff to Head office and other stakeholders of different business lines such as brokerage, margin, and proprietary investment
- Optimize and improve risk management report template by ways of automation
- Solve the identified risk problems and improve the risk limit monitoring mechanism of different business units
- Review risk management policy and approval procedures
- Other ad hoc projects
Requirements:
- Degree holder in Risk Management, Finance, Mathematics or relevant disciplines
- Holder of FRM is preferable
- Minimum 5 years' relevant working experience in financial industry
- Strong product knowledge on financial products, especially fixed income products, equities etc. is preferable
- Hands on experience in VBA is preferable
- Good command of both written and spoken English and Chinese, fluency in Putonghua is preferable
- Presentable with strong analytical, detail oriented and problem solving skills
- The “Can-do” attitude is a must, you need to be able to work independently with multitasking
- A good team player, passionate, detail-minded and keen to develop career in financial industry
- Candidate with less experience will be considered as ‘Senior Associate’