We are currently partnering with a reputable financial institution in Hong Kong who is keen to hire a Market Risk VP/Director to join the team.
This is a high-impact opportunity for an experienced risk professional to take ownership of market risk management across a diverse range of asset classes, including Equities, Fixed Income, Derivatives, and Structured Products. Beyond day-to-day risk oversight, you will play a key role in driving various implementation projects and refining risk models and tools. For the right candidate, this role offers a clear path toward team leadership as the business continues to grow.
To be qualified, you must have not less than 8 years of experience in Market Risk with strong product knowledge in Equities/ Fixed Income products across APAC region. Fluency in Mandarin is essential.
Please send your CV to Vivian Chen at vchen@ashford-benjamin.com, or call +852 2315 9503 for a confidential discussion.
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