Margin Risk Analyst

We're looking for Margin Risk Analyst to be part of the team!

Hays - Hong Kong - Full time

Salary: Negotiable

Your new company

An exciting and challenging position in a leading global bank is looking for an enthusiastic and experienced Margin Risk talent to join the BCU Risk Management team. The ideal candidate is someone with an analytical mindset and wants to advance their career and gain real-world experience in a fast-paced environment. Join the team to be part of the Asia Private Wealth Management business with great exposure and growth potential!


Your new role

  • Monitoring of margin exposure level of client portfolio
  • Following up with Sales team on any margin deficit of client portfolio
  • Monitoring market conditions and assess their impact on the PWM portfolio as well as client portfolio, and recommend changes of risk management strategies
  • Acting as the escalation point for risk related to margin lending and banking
  • Capturing and analysing data & advise management in developing effective mitigation steps and controls
  • Ensuring standardisation and consistency in risk management policies and procedures applicable to Wealth Management and comply with ongoing regulatory requirement
  • Participating in Margin Lending & Banking projects.



What you'll need to succeed

  • A minimum of 3 years of relevant working experience in the banking industry
  • Product knowledge of various asset-classes including equity, fixed income, listed and OTC equity derivatives, FX, Funds and banking products (loans and deposits)
  • Proficient in English, Mandarin, Cantonese



What you'll get in return

  • Large platform for career progression
  • Supportive team with good working atmosphere



What you need to do now

Wait no more! Apply now and send you updated CV in to shanyi.wong@hays.com.my

21301636
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