- Managerial Responsibilities
- Global Markets
Our client is a leading financial institution with a strong present in the Asia Pacific region. They are currently looking for a solid market risk manager to manage their Global Markets businesses in Hong Kong.
As Head of Market Risk, your main job is about managing the market risk management team of their Equities and Fixed Income businesses in the Asia region. Your role includes managing the production of the daily risk and limit exposures reports and as well as constant interactions with head traders and senior managements to ensure all the risk and limit exposures within the Global Markets businesses are properly managed in accordance with the internal and external policies.
To qualify, you must have a strong education background in Finance, Risk Management, or related area. Minimum of 10 years of Market Risk experience with international financial institutions. This role required excellent communications skills in English, Cantonese, and Mandarin; attention to details / high levels of accuracy and the ability to manage and prioritize own workload effectively and resolve conflicting priorities.
To apply for this job
Contact: Bryan Lim quoting job ref: VSA-1582
Telephone: 852 – 2525 8820
Email: blim@valuesearchasia.com
职位描述
工作分类 | Corporate Services, Corporate / Investment Banking, Risk Management |