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Hong Kong, Hong Kong SAR
(on-site)
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Full Time
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Other
Market Risk- VP-D
The insights provided are generated by AI and may contain inaccuracies. Please independently verify any critical information before relying on it.
Market Risk- VP-D
The insights provided are generated by AI and may contain inaccuracies. Please independently verify any critical information before relying on it.
Description
We are helping a leading Chinese securities company to find a market risk VP-D level, please find JD as below:Job Descriptions
• Develop and implement market risk management strategies in line with the firm's risk appetite and regulatory guidelines; Develop and maintain market risk policies, procedures, and controls, and ensure their effective implementation;
• Monitor and assess market risk exposures across various asset classes;
• Conduct stress testing, scenario analysis, and sensitivity analysis to identify potential risks and their impact on the firm's portfolio;
• Provide risk-related advice and recommendations to senior management, including risk limits, risk mitigation strategies, and hedging strategies;
• Collaborate with business units and other stakeholders to analyze and understand market trends, pricing models, and risk factors;
• Stay updated on industry best practices, market developments, and regulatory changes related to market risk management;
• Prepare and present risk reports and presentations to senior management, risk committees, and regulatory bodies;
• Provide leadership, guidance and trainings to the Market Risk coverage members;
• Enhance market/counterparty credit risk models, OTC derivatives pricing and margin models in risk systems; Conduct rigorous analysis and testing as part of risk model development and enhancement;
Qualifications
• Master's degree or above in finance, economics, mathematics, or a related field; • 10-15 years of relevant market risk management experience within an investment bank or financial institution;
• In-depth understanding of financial markets, products, and risk management techniques and pricing models;
• Sound knowledge of regulatory frameworks and requirements related to market risk management;
• Proficiency in quantitative analysis, risk modeling, and statistical tools;
• Sound and solid analytical and problem-solving skills, with the ability to identify and assess complex market risks;
• Proven leadership and team management skills, with the ability to effectively collaborate with stakeholders at all levels;
• Capable to convey complex concepts in a clear and concise manner with solid communication and presentation skills;
• Good verbal and written communication skills in both Chinese and English;
• Professional certifications such as FRM or CFA or CQF are desirable.
Job ID: 85648725
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