Posted 9mo ago

Manager, Market Risk Management, Risk

@ CITIC CLSA
Hong Kong, Hong Kong
OnsiteFull Time
Responsibilities:Manage risk, Monitor risk, Report risk
Requirements Summary:3-8 years market risk management; Bachelor's in relevant field; English and Chinese required; strong communication and quantitative skills.
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Job Description

Position Description
The role of this position is to be responsible for day-to-day risk management, risk monitoring & reporting for FICC and CSI overall.  

Key Areas of Responsibilities 

  • Manage and monitor the risk of each FICC trading desk appropriately and manage their risk limits on daily basis.
  • Produce overall risk report on regular basis (weekly/monthly) for senior management.
  • Produce risk reports as required on regular basis (daily/monthly) and ad-hoc.
  • Perform risk analysis such as stress testing and scenario analysis.
  • Liaise with front office closely to understand the business models, identify the risks.
  • Work with risk model team closely 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.
  • Participate in various projects as required. 

Requirements

  • Bachelor's degree holder in Risk Management / Finance / Economics / Financial Engineering / Mathematics or related discipline(s).
  • 3-8 years relevant experience in market risk management.
  • Very good knowledge of financial products, as well as their risks.
  • Wide and deep understanding of the market.
  • Solid background on quantitative analysis and computer skills.
  • Excellent communication and interpersonal skills
  • Work under pressure.
  • Excellent command of spoken and written communications in English & Chinese (including Putonghua).

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