- Investment Bank
- Excellent exposure
About Our Client Our client is a well-known Investment Bank with global presence. They are looking for an experienced Product Risk Analyst to join their team.
Product knowledge across equities, fixed income and derivatives is highly preferred.
Job Description - Review, assess, and approve complex or bespoke asset transfer requests, conducting independent investigations with client-facing and control teams.
- Escalate key issues to management or second-line functions and ensure compliance with regulatory requirements.
- Support product due diligence across all PWM products/asset classes (including OTC derivatives and discretionary mandates).
- Partner with trading desks, Legal & Compliance, and other stakeholders on product governance, risk controls, and asset transfer oversight.
- Contribute to product governance activities such as committee meetings, risk ratings, and maintaining accurate product information.
- Assist with risk- and control-related projects covering asset transfer, trade execution, and fee processes; streamline workflows and support system enhancements.
- Support regulatory queries, audits, and compliance testing; promote strong risk culture across the business.
- Provide cross-regional coverage (e.g., Singapore and Australia) as needed.
The Successful Applicant - Bachelor's degree with 5+ years of private banking first-line risk/control experience.
- Strong expertise in asset transfer reviews (fraud, AML, ATE considerations).
- Solid product knowledge across equities, fixed income, derivatives, and banking products.
- Familiarity with HKMA, SFC, and MAS regulatory frameworks.
- Strong multitasking, communication, and teamwork skills; self-motivated and fast learner.
- Proficiency in English and Mandarin; data analytics/Bloomberg skills preferred.
What's on Offer - Well known investment bank