Risk Management(VP)
China Great Wall AMC (International) Holdings Company LimitedCentralUpdate time: September 17,2020
Job Description
Responsibilities:
- Responsible for drafting and reviewing risk policies and procedures of securities trading;
- Oversight daily market risk with all traded portfolio, conduct various risk analyses; identify, assess and monitor risk related to firm’s trading activities and perform regular market risk reports to management on risk identification and monitoring;
- Responsible for providing professional opinion to Investment Committee regarding secondary market business and reviewing the pre-investment and post-investment conditions;
- Present to department head and senior management the impact of change in exposures and risk portfolio;
- Work closely with front office on deal approvals and limit setting;
- Monitoring whether investment team complied with relevant company policies and report to the management immediately when identify any compliance violation whether any economic loss caused or not;
- Responsible for coordinating the front office formulating secondary market operation manual and other policies and procedure;
- Support any ad hoc projects as requested
Requirements:
- Degree or above holder in Finance / Economics/ Accounting or related disciplines
- At least 5 years’ experience in market risk management
- Risk management experience in stock markets and bonds market is a must
- Self-starter with ability to work independently as well as a team player
- Experience in Chinese Reporting/ Policy Writing and using Bloomberg highly preferred
- Familiarity with asset management, funds and principal investment business is highly preferred
- Excellent command in spoken & written English and Mandarin, Cantonese is a plus
Work location: Central, Hong Kong
Interested parties please attached detailed resume in Chinese and English version with current and expected salaries to us.
Get email alerts for the latest"Risk Management(VP) jobs in Central"
