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Senior Associate / Associate – Credit Risk Management


Responsibilities• Monitor the market risk of financial products, with particular focus on fixed income products
• Analyze risk exposure and to help formulating relevant risk management policies on the related areas
• Prepare management reports on the risk analysis and related areas
• Participate system projects (including UATs) in developing and implementing effective credit risk control platform.
• Perform ad hoc assignments and handle special projects from time to time assigned by supervisor


Requirements• Bachelor Degree in Business Administration, Finance, Risk Management or related disciplines
• Minimum 2-3 years relevant experience in market risk monitoring with exposure to fixed income and asset management is an advantage Able to work under pressure
• Sound knowledge and experience in developing macros, VaR and related risk management tools is an advantage
• Excellent command of written and spoken English and Chinese (Putonghua and Cantonese)