(Assistant) Financial Risk Manager (Product Control - FX & Bullion)

Job level Entry
Work exp 2 Years To 5 Years
Education Bachelor Degree
Language Chinese - Cantonese, Chinese - Mandarin, English
Location
Within Hong Kong
Employment type Full Time
Industry Banking
Job function Banking / Finance > Research / Analysis
Banking / Finance > Risk Management
Banking / Finance > Treasury
Published On 30/08/2019
ref. 495512

Responsibilities:

  • Conduct effective product control and valuation control of FX and bullion related products and derivatives in trading book
  • Duties include daily P&L reporting and analysis, balance sheet substantiation, pricing parameter verification and market conformity checking
  • Participate in treasury business development and related system enhancement projects
  • Strengthen product control functions, streamline or revamp work flow and maintain related policy and procedures
  • First point of contact for front office to handle ad hoc queries on P&L
  • To handle other ad-hoc tasks as assigned

Requirements:

  • University graduate with degree in Financial Engineering, Quantitative Finance, Risk Management, Finance, Economics, Accounting or related disciplines.  Further professional qualification such as ACCA, CPA, CFA, FRM would be a plus.
  • 2-5 years of working experience in FX and bullion related treasury products and/or product control. Experience in South East Asia is an advantage
  • Solid hands-on experience in treasury system (such as Murex) is a prerequisite
  • Proficiency in financial instruments & market operations
  • Independent, strong analytical abilities and communication skill, good time management and high attention to details
  • Excellent in both written and oral English and Chinese, Mandarin preferred
  • Sound Knowledge and experience in VBA, SQL or related programming languages