Bank of Communications (Hong Kong) Limited (“Bank of Communications (Hong Kong)”) is a wholly owned subsidiary of Bank of Communications Co., Ltd., which provides personal banking, corporate banking and private banking services through 43 outlets, 4 business services centres and its private...

Bank of Communications (Hong Kong) Limited (“Bank of Communications (Hong Kong)”) is a wholly owned subsidiary of Bank of Communications Co., Ltd., which provides personal banking, corporate banking and private banking services through 43 outlets, 4 business services centres and its private banking centre in Hong Kong.

With extensive network across the city, Bank of Communications (Hong Kong) has set up 37 wealth management service centres in its outlets that offer BComBEST customers a full range of professional banking services to address their needs at every life stage. Our business services centres work alongside enterprises to help facilitate the daily operation and explore business opportunities by providing integrated banking solutions. Bank of Communications (Hong Kong) serves premium private banking customers through a comprehensive array of personalised banking solutions. Customers can easily access to our integrated wealth management services no matter where they are.

Senior Analyst, Market Risk

Job level Middle
Work exp Minimum 3 Years
Education Bachelor Degree
Location
Within Hong Kong
Employment type Full Time
Industry Banking
Job function Banking / Finance > Risk Management
Banking / Finance > Others
Information Technology > System / Business Analyst
Published On 03/05/2019
  • Design, develop and prepare market risk monitoring and stress test reports, as well as ad-hoc market risk exposure and position reports for local management and Head Office upon request.
  • Perform mark to market and revaluation on fixed income products and other financial instruments.
  • Participate in treasury and other banking systems implementation projects.
  • Participate in new product development process.
  • Develop and maintain operational manuals.
  • Degree holder or above with major in Risk Management, Financial Engineering or any Science disciplines, with CFA and FRM qualification is an advantage.
  • Minimum 3 years’ experience in market risk management with exposure to both plain vanilla and structured products.
  • Sound knowledge and experience in Macro, VBA, SQL, VaR and related risk management tools.

 

Candidate with more experience will also be considered as Manager, Market Risk