My client is a fast growing investment platform.
The Role
- Report to Senior Risk Manager
- Perform risk management and analysis of multi asset on public market including FICC
- Monitor risk exposure
- Prepare reports, analysis with commentary for enhancement and risk meeting
- Review and update policies, procedures, risk methodology
Your Profile
- Bachelors degree holder with 5 years risk management experience
- Proficient in coding skill such as Python / VBA
- Fluent in English; Cantonese will be an advantage
Remarks
- There are skill tests on both risk and coding