In 2010, Page Personnel was launched in Hong Kong, complementing the Michael Page offering. Recruiting across the full range of junior roles, we join an international network of Page Personnel offices. As part of the Page Group, we are able to leverage on over 30 years of international recruitment experience...
In 2010, Page Personnel was launched in Hong Kong, complementing the Michael Page offering. Recruiting across the full range of junior roles, we join an international network of Page Personnel offices. As part of the Page Group, we are able to leverage on over 30 years of international recruitment experience and expertise. This has enabled us to deliver the results that you want - the best employees available quickly and with minimum fuss.

So if you're looking to take your career to the next level, visit www.pagepersonnel.com.hk

Risk Analyst (Highly Preferred Experience In FI)

Job level Middle
Work exp No work experience
Education Bachelor Degree
Location
Within Hong Kong
Employment type Full Time
Industry Financial Services / Investment / Securities
Job function Banking / Finance > Risk Management
Banking / Finance > Fund Management / Hedge Fund
Published On 08/11/2019
ref. 4107083/001_15011

Our client is a well-established Chinese investment group. They are now looking for a candidate with at least 3 years working in the financial institutions to join their team. Candidate can enjoy exposure on risk management with Funds, FX and Equity position.

Client Details

Our client is a well-established Chinese investment group with more than 20 years of history. They have a branch based in Hong Kong with 4 main business lines, Asset Management, Securities and Futures Brokerage, Corporate Finance and lending. Leveraging their strong knowledge with the Chinese market, they have been rapidly expanding in their Chinese capital market and obtaining new fund from foreign investors. The company culture is relatively flexible and friendly.

They are now looking for a risk analyst position in their asset management team. The candidate will have strong exposure on risk management duties related to funds, FX and equity.

Description

  • Monitor portfolio performance and assist on planning hedging strategy
  • Perform macroeconomic forecasts
  • Develop risk control systems for new funds
  • Daily risk management on Fixed Income and Equity positions and suggest risk mitigation
  • Develop quantitative model and provide recommendation on global asset allocation

Profile

  • Bachelor's degree holder in Finance or Risk Management field
  • Candidate with Master's degree or FRM qualification is highly preferred
  • At least 3 years working on risk management duties in financial institutions
  • Excellent communication skills in both Chinese and English
  • Number-sensitive and logical mindset

Job Offer

  • Wide Exposure
  • Well-established Business
  • Stable and Friendly Culture
  • Attractive Bonus

To apply online please click the 'Apply' button below. For a confidential discussion about this role please contact Ellen Fung on +852 3602 2447.