Tiger was established in 2014 and is committed to becoming a world-class technology brokerage. We hope to improve financial efficiency through technology, so that more people can enjoy the fun of investing. In August 2015, we launched our self-developed trading platform Tiger Trade, which improved the...
Tiger was established in 2014 and is committed to becoming a world-class technology brokerage.  We hope to improve financial efficiency through technology, so that more people can enjoy the fun of investing.  In August 2015, we launched our self-developed trading platform Tiger Trade, which improved the pain points such as complicated account opening, high fees, poor software experience, and no localized services for Chinese investing in US stocks, and quickly became a popular investment platform among Chinese . In November 2017, we launched the US stock IPO subscription service, breaking the monopoly of institutions and high-net-worth individuals on the subscription of US stock IPOs. We are committed to leading the industry in the number of new US stock trading service projects launched. Now, investors can trade U.S. stocks, Hong Kong stocks, A-shares (Shanghai-Hong Kong Stock Connect/Shenzhen-Hong Kong Stock Connect), Star stocks (Singapore stocks), Australian stocks (Australian stocks), futures, funds and other financial markets in major global markets through one account on Tiger. products and enjoy a first-class investment experience.  At present, we have obtained brokerage licenses or licenses in Singapore, the United States, New Zealand, Australia, Hong Kong, China and other places, and provide securities and derivatives trading services for local residents. On March 20, 2019, we were officially listed on the NASDAQ exchange in the United States.

Risk Director

Job level Senior
Work exp 5 Years To 12 Years
Education Bachelor Degree
Language English
Location
Within Hong Kong
Industry Financial Services / Investment / Securities
Job function Banking / Finance > Risk Management
Published On 30/09/2022
Responsibilities:
  1. Cover business lines of Brokerage Business, including Equity, Margin Financing, Currencies and Commodities (FICC), CIS and Asset Management;
  2. Design, develop and report market risk monitoring tools (exposures, VaR, stress test, risk mitigation) and stress test reports for local management and Head Office upon request;
  3. Participate to review margining model of different asset classes;
  4. Review and follow up of mortgage loan applications ;
  5. Assist in formulating and updating the operations procedures and departmental policies;
  6. Take part in model validation, backtesting & enhancement projects;
  7. Conduct UAT testing of any model modifications and ad hoc investigations。
 
Requirements:
  1. University graduate preferably major in Business Administration, Finance, Mathematics, Quantitative Analysis or relevant discipline;
  2. 2 years solid experience in risk analysis, credit and loan application and approval;
  3. Familiar with data modelling and credit analysis of financial products;
  4. Good communication, analytical and project management skills;
  5. Proficient in both spoken and written English and Chinese;
  6. Sound knowledge of codes & guidelines of relevant regulatory bodies would be a plus。