Responsibilities:
- Handle all risk management related issues covering securities, futures, OTC products, fund investments and asset management;
- Measure and monitor risks portfolios, including but not limited to investment, margin financing, liquidity and counterparty risks;
- Design risk modelling for variety of products including securities and OTC products;
- Prepare, review and update on risk management policies and procedures;
- Ensure all internal control policies and business activities procedures are complied with the Hong Kong laws including SFC codes and guidelines;
- Handle house fund set-up, fund management and related matters;
- Handle ad-hoc projects as assigned by senior management from time to time.
Requirement:
- Degree or above holder, preferably in Risk Management, Legal, Business or any other related discipline;
- Minimum 8 years of relevant experience in financial institution preferably in the capacity of risk related areas;
- Excellent in-person presentation skills;
- Excellent analytical, reading / comprehension, drafting, writing skills and strong attention to detail;
- Excellent communication, problem solving and interpersonal skills;
- Fluent in spoken and written English and Chinese;