Deputy Valuation Control Lead – Product Control

Primary Objectives: This senior role is under product control team and responsible for overseeing and performing independent price verification (IPV) and fair value assessments for financial instruments, identifying and managing valuation risks, developing and enhancing valuation methodologies and tools, and ensuring compliance with regulatory guidelines and accounting standards. Responsibilities: Conduct and oversee IPV processes for various financial products to ensure accuracy and compliance,

Guotai Junan International Singapore Holdings Pte. Limited - Hong Kong - Full time

Salary: Competitive

Primary Objectives:

This senior role is under product control team and responsible for overseeing and performing independent price verification (IPV) and fair value assessments for financial instruments, identifying and managing valuation risks, developing and enhancing valuation methodologies and tools, and ensuring compliance with regulatory guidelines and accounting standards.

Responsibilities:

  • Conduct and oversee IPV processes for various financial products to ensure accuracy and compliance,
  • Identify and control risks related to P&L attribution, pricing inputs, valuation models, and market data to protect the firm's financial assets,
  • Develop, assess, and refine valuation methodologies, control frameworks, and tools to improve efficiency and accuracy,
  • Communicate complex valuation issues to various stakeholders, including senior management, business heads, auditors, and regulators in a clear manner,
  • Be able to adapt to a fast-paced environment,
  • Guide and mentor junior team members, leading projects and fostering collaborative relationships with internal and external parties.

Qualifications:

  • Minimum 10 years working experience with product control/valuation area in global investment banks,
  • Strong analytical abilities to interpret financial data, complex models, and market information,
  • Knowledge of valuation models, accounting principles, financial systems, and market data sources,
  • Expertise in a wide range of financial instruments, including equities, derivatives (options, futures, swaps), credit derivatives, and securitized products,
  • Familiarity with regulations like Basel 3 FRTB and their impact on valuation frameworks,
  • Be able to communicate effectively with different stakeholders,
  • Proactive and independent issue resolution, with a strong sense of ownership,
  • CFA or FRM preferred,
  • Bachelor Degree holder or above, preferably in Banking & Finance related disciplines.

We offer an attractive remuneration package and fringe benefits to the right candidate. Interested applicants please send detailed resume stating present and expected salaries, as well as date of availability, by clicking "Apply".

(Data collected will be kept strictly confidential and used for recruitment purpose only.)

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