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FICC Risk Manager

FICC Risk Manager

Pacific FocusHong Kong, Central and Western, Hong Kong
20 days ago
Job description

KeyResponsibilities :

  • Risk Monitoring & Analysis :  Conduct daily risk assessments across macro, credit, equity, and derivative products, ensuring system stability and accurate risk exposure reporting.
  • Risk Modeling & Methodology :  Develop and implement advanced risk management techniques, including stress testing, scenario analysis, and P&L attribution. Calibrate and refine valuation models as needed.
  • Data Management :  Maintain a comprehensive FICC risk database, calculate risk factors, and support P&L reconciliation.
  • Process Optimization :  Enhance internal risk controls and workflows to improve efficiency and scalability.
  • Cross-Functional Collaboration :  Partner with investment teams to onboard new trading instruments and ensure seamless integration into risk systems.
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Manager • Hong Kong, Central and Western, Hong Kong