Job summary
Job category | Professional (Consulting / Finance / Real Estate / Professional Services)/Consulting |
---|---|
Industry | Finance/ Securities / Investment Trusts |
Employment type | Uncategorized |
Position level | Director or Above |
Number of openings | 1 |
Desired entry time | - |
Required language skill | |
Foreign language competence | - |
Welfares / Leave systems |
Work details
Our client, a Japanese financial group of trust banking, is looking for Market Risk Manager as the following.
Key Roles and Responsibilities :
Support the Risk Management team to identify and analysis the market risk issue
Responsibility for regular or ad hoc market risk activities reports / information / analysis to management
Develop, implement and maintain standardised market risk control and procedures in accordance with Group Market Risk policies
Maximise efficiency and productivity through standardisation and devise measures of quality and service standards
Liaise with Japan HQ office
Requirements:
Degree holder in banking, finance, econometrics or related field
At least 5 years of working experience in related field
Understand financial market products & market data
Good understanding and experience in risk modelling
Strong focus on quality control and attention to detail
Effective communication and business engagement skills
Proficiency in Mandarin/ written Chinese and English, Japanese is an advantage
Proficiency in MS Office & Access
About interview
Liaison
Market Risk Manager - Japanese Financial Group
RGF HR Agent
32000 〜 35000 HKD