Responsibilities: Lead the Group's management of FX and interest rate risks to ensure the positioning aligns with overall financial goals and risk appetite. Maintain the risk and hedging framework, regularly refreshing policies and programmes as markets, business profile, accounting rules and governance standards change. Track FX, rate and derivatives exposures and hedges positions, flagging exceptions early and driving timely follow-up so positions stay within agreed limits. Conduct structured
Morgan McKinley - Hong Kong - Full time
Salary: Competitive