My client is a leading US Investment Bank looking to expand their Market Risk function here in Hong Kong with a VP level equity focused Market Risk Manager.
Job Description:
- 7-10 years of experience in Market Risk
- FRM or CFA is a bonus
- Exposure to cash equities, fixed income and credit flow is a bonus
- Monitor and measure market risk according to global risk framework
- Assess hedge-level and portfolio risk on a daily basis