Participate in the valuation of treasury products, research, development, and implementation of risk model, etc.
Participate in improving market risk models and monitoring the related model risk
Perform product due diligence and provide quantitative support to the new treasury products
Participate in testing and upgrade work related to treasury system
Prepare market risk reports for senior management
Requirements:
Degree holder (Major in Risk Management, Quantitative Finance, Financial Engineering, Statistics, Math or related finance discipline)
10 years or above related working experience in market risk, financial markets or other related areas
Strong knowledge in market risk models and Basel III regulatory requirements is preferred
Strong analytical mindset, good communication and problem-solving skills
Proficiency in written and spoken English and Chinese, fluency in Mandarin is an added advantage
Experience with risk management systems (Murex or Risk Manager, etc.) is an added advantage
Proficiency in VBA programming or other programming languages
Possession of professional qualification of CFA, FRM, or Enhanced Competency Framework on Treasury Management is an added advantage
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