Responsibilities:
•Responsible for daily risk monitoring, reporting and analyzing in business units
• Work within front office and collaborate with trader/structurer/sales colleagues
• Facilitate analysis and meaningful reporting of the data
• Timely follow up any risk event and report to the Management
Knowledge:
• Good understanding of risk management concepts and techniques
• Knowledge of the capital markets and the products
• Knowledge of financial instrument modeling and risk metrics
Skills and Abilities:
• Strong quantitative and analytical ability
• Proficient in programming, with Python and R preferred
• Excellent verbal and written communication skills both in Chinese and English
• Good problem-solving skill
• Self-motivated & energetic
• A team player
Qualifications:
• Risk management experience in OTC equity derivatives from a reputable investment bank is preferred
• Major of Master or advanced degree in financial engineering, mathematical finance, or other quantitative related fields from reputable universities
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