Our client is a global investment bank who is looking for a valuations professional for credit products based in Hong Kong, working closely with product control and market risk.
Responsibilities include: - Undertake periodic independent price verification (IPV) across a wide range of credit trading products (bonds, CMBSs, CLNs, loans, CDSs) and other illiquid products using external data sources and financial models
- Communicate with traders regularly to convey valuation results and discuss marking methodologies
- Review valuation and risk models while working closely with model developers
- Enhance and streamline existing working processes.
- Contribute to regulatory deliverables and automation projects
- Respond to queries from internal/external auditors
- Understand global financial markets, follow market movements and comprehend the impact on the portfolio and firm
Your background: - Strong bachelor or above academic background in financial/quantitative major such as accounting, economics, engineering or other relevant fields
- Minimum 3 years of relevant experience in credit/corporate/investment analysis or relevant fields such as valuation control, product controller or risk management
- Good understanding of financial products and credit/corporate/investment pricing theories
- Excellent English communication skills, Chinese (Mandarin) is a plus
- Willingness to adapt to new challenges in a dynamic environment
- Team player mindset and ability to build strong human relationship
- PC literacy in MS excel, power point and others