Job Description
My client is a well-known Securities Conglomerate which provides wide range of investment services. To cope with business expansion, they are urgently looking for an experienced candidate to join their Risk Management Team:
Responsibilities:
- Control Credit Risk functions of Securities, Futures, Options, Fixed Income Securities and other investment products
- Conduct Credit Analysis and Reviews (new, interim, and annual) and write-up Credit proposals for counter parties
- Ensure Risk exposures are managed within the approved limits and in accordance with company policies
- Carry out day-to-day Risk Monitoring, regular Risk Reporting, and follow up trading excess with various business units
- Prepare Risk Management report to headquarter every month
- Participate in ad hoc projects including system enhancement and migration, new product set up and implementation, UAT etc.
Requirements:
- Degree in Finance, Economics or any related disciplines
- Professional qualifications such as CPA, CFA, FRM will be advantage
- 8 years' experience of Risk Management in Brokerage / Securities / Asset Management companies
- Proficiency in PC applications including Microsoft Office, Excel (VBA), Bloomberg, Access etc
- Good command of both spoken and written on Chinese (Mandarin & Cantonese) and English
- Less experience candidate will be considered as Manager of Risk Management
Package:
- Competitive salary
- Year-end bonus
- Discretionary bonus
- Medical Insurance
If you find yourself qualified and want to explore more, please send your updated CV in Word / PDF format to hongkong@rgf-hragent.asia
All information received will be kept in strict confidential and only for recruitment purpose.