Job description
Business type
Types of Jobs - Risk Management / Control
Job title
Vice President, Markets Risk Manager
Contract type
Permanent Contract
Job summary
- This position will be under the Employee Referral Program in Hong Kong.
Summary
Assists the Head of Market Risk Asia in monitoring the market risks of CACIB Asian entities.
Key Responsibilities
Alerts the Head of Market Risk Asia on important events, market risk exposures or abnormal situations.Provides market risk analyses on Asia GMD activities on regular basis. Particular focus given to FX Options Trading and Asia Credit Trading activities.Assists the Head of Market Risk Asia in preparing the Asia Market Risk Committee materials.Participates to the definition and review of set of limits.Dedicated RM to field local GMD and regulatory requests for Market Risk related topics.Takes an active part in the analysis of one-off requests and contributes to MCR final decision.Assists the MAM team in maintaining a robust risk and valuation reporting framework.Active contribution to local or head-office regulatory projects or ad hoc requests.Project management (New Products or Activities, System upgrades, New methodologies roll-out etc)Personal data provided by job applicants will be used strictly in accordance with the employer’s personal data policies, a copy of which will be provided immediately upon request.
La version française est disponible sur demande à votre RH locale
Position location
Geographical area
Asia, Hong Kong
City
HONG KONG
Candidate criteria
Minimal education level
Bachelor Degree / BSc Degree or equivalent
Academic qualification / Speciality
Degree preferably in a Risk Management, Finance, Quantitative Finance, Mathematics or Statistics.Level of minimal experience
3-5 years
Experience
A minimum of 5-year professional and experience in market risk function.Experience in valuation, product control or market risk function.Required skills
In-depth knowledge of fixed income markets with good understanding on the mechanics of financial products typically on risks and P&L treatment.Excellent team player and ability to work under pressure in meeting deadlines.Good understanding of financial products, valuation and market risk management.Non-Linear products expertiseExtensive market knowledge
MotivatedGood communicatorCreativeInnovativeTeam OrientedIT literateMathematically mindedLanguages
Cantonese and / or Mandarin are preferred;Excellent communication skill in English and native language