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更新于 9月18日

Risk Manager, Market Risk, RMD

2-4萬
  • 香港
  • 3-5年
  • 本科
  • 全職
  • 招1人

職位描述

業(yè)務(wù)合規(guī)
Job Responsibilities
- Design, plan and implement the Counterparty Credit Risk Management Framework to ensure Counterparty Credit Risk in the Bank is adequately and appropriately managed under the supervision of Market Risk Head
- Perform daily risk management and assessment of OTC derivatives products including FX, IR, Equity, Commodity and structured products
- Produce risk monitoring reports including risk attribution analysis, concentration analysis, wrong way risk, stress testing, material risk identification and risk mitigation
- Maintain active working relationship with internal stakeholders to ensure risk and control issues are identified and addressed
- Use strong analytical skills to conduct investigations into market risk and modelling issues
- Provide assistance in new product review and assessment from counterparty credit risk management perspective
- Provide assistance in counterparty credit risk related regulatory examination and auditing tasks
Job Requirements
- Bachelor Degree or above with major in Finance / Financial Engineering / Risk Management / Quantitative Finance is preferred
- FRM or CFA is a plus
- More than 3 years of professional work experience in financial services preferred
- Work independently and proficient in Excel / Access for large/complex data analysis, and Powerpoint / Word for presentation
- Proficient in spoken and written English and Chinese (including Mandarin) in a must

工作地點(diǎn)

Champion Tower, Champion Tower, Three Garden Road Central office Complex, 3 Garden Road, Central, 香港

職位發(fā)布者

黃婷/人事經(jīng)理

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