Market Risk Manager

Job level Middle
Work exp Minimum 5 Years
Education Bachelor Degree
Sheung Wan
Employment type Full Time
Benefits 13-month pay, 5-day week, Education subsidies, Housing allowance, Medical plan, Paid overtime, Performance bonus
Industry Banking
Job function Banking / Finance > Others
Published On 24/01/2018


  • Monitor and control market risk limits across OCBC Wing Hang Group
  • Ensure all key risk measures are appropriate and PnL is consistent with risk taken
  • Timely escalation of major market risk issues to senior management
  • Provide analysis and insights into key market risks and main PnL drivers of each portfolio
  • Ensure the integrity of valuation of all trading instruments and providing technical support and guidance such as market risk measurement, risk models and risk methodologies through regular review
  • Align market risk policies with Head Office framework and in compliance with local regulatory requirements
  • Participate in system migration projects
  • Support new product approval process
  • Perform credit exposures calculation for pre-settlement counterparty risk


  • University degree in Risk Management, Financial Engineering, Quantitative Analysis, Statistics or related disciplines
  • Minimum 5 years of relevant experience in Market Risk Management or Financial markets
  • Knowledgeable in Murex or equivalent risk system, MS office, Programming skills
  • CFA and / or FRM preferred
  • Proficient in written and spoken English and Chinese


Attractive remuneration package will be offered to the right candidate. Please apply with full resume stating present & expected salary and contact phone number to The Human Resources Manager, 10/F, 161 Queen’s Road Central, Hong Kong. Please quote the reference.

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