Investment Risk & Market Risk | Financial Services | Hong Kong
My client is a leading Securities firm and we are looking for a strong Investment Risk, Market Risk, Enterprise Risk or Portfolio Management candidate for a new Risk Management to be based in Hong Kong.
This Risk role is at the Assistant Manager to Manager level, and we are looking for Investment Risk, Market Risk, Credit Risk or Enterprise Risk candidates with experience within Securities, Asset Management, Investment Management, Financial Services or a related field.
This Risk role will give the candidate exposure to the Front Office teams, and this is a new hire as a result of expansion within this business.
Some details of this Risk role include:
- Work with Head of Risk across Principal Investments, Asset Management, Fund Management and related businesses
- Investment Risk and Market Risk analysis for Investments; primary markets focused role across Real Estate, Private Equity, Structured Finance
- Identify risk, Monitor and ensure Risk efficiency across portfolio
- Work with Front Office teams on any Portfolio Risk issues
- Value at Risk calculations, Stress Testing
This Investment Risk role covers the Primary markets and Risk candidates should have Private Equity, Structure Finance, Real Estate etc. backgrounds may have an advantage. Risk candidates with other asset class knowledge are welcome to apply.
Some requirements for this Investment Risk role:
At least 3 years of Risk, Investment Risk, Enterprise Risk, Market Risk, Credit Risk or related Risk knowledge in Bank of Financial Services firm. Candidates should have understanding of Risk, Valuation, Market Risk or Credit Analysis and should have strong communication skills.
Please submit all applications to apply.a33hoj48lq@selbyjennings.aptrack.co.uk or call us at +65 6589 4410 for more information.
For more information, please visit www.selbyjennings.com or contact us at +65 6589 4410
Selby Jennings Pte Ltd MOM EA License no: 11S3033
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