Market Risk Associate
- Opportunity within a Global Investment Bank
- Regional Exposure
- Excellent work environment and benefits
Our client is a leading Global Investment bank with a well-established presence in the Asia Pacific Region. As a result of their commitment to expansion in the region, they currently have an exciting new opportunity for an experience Market Risk Associate to join their HK team, focusing on the Equity Derivatives product area.
This role is responsible for managing market risk across the Equity derivative trading desk. The role will also be responsible for working with other market risk managers in developing methodologies for quantifying and analyzing market risks, producing Stress, VAR and other market risk measures, analyzing books and portfolios and working directly with traders in right sizing positions. It will also be crucial to work with senior management and other team members to report and analyze MIS and risk data from relevant systems for senior management and committees and also to meet regulatory needs.
To qualify, individuals must possess:
- University Degree in Mathematics, Physics, Economics, Finance, Quantitative Finance, Business, Engineering majors or other
- Masters / MBA Degree CFA / FRM will be an advantage
- Around 4-6 years of experience within Market Risk within a Financial Institution.
- Strong understanding and experience of Market Risk processes in addition to Equity Derivatives product knowledge gained in a risk, trading or middle office environment.
Contact Lucy Reith-Pert on (852) 3103 4316 or APPLY NOW by clicking the button below quoting reference number LRP23818 www.ambition.com.hk
Data provided is for recruitment purposes only.
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