Business Analyst - Risk Management (ibank; $60-70k)

This is a leading financial institution within capital market sector, looking for a Business Analyst for their new risk reporting system. Responsibilities Act as a senior Business Analyst supporting the design, enhancement, and maintenance of risk reporting systems for derivatives trading businesses. Work closely with Risk Management, Front Office, Finance, and Technology teams to gather, analyze, and document business and functional requirements. Translate risk methodologies and regulatory requ

Ambition - Hong Kong - Full time

Salary: HKD60000 - HKD70000 per month


This is a leading financial institution within capital market sector, looking for a Business Analyst for their new risk reporting system.

Responsibilities

  • Act as a senior Business Analyst supporting the design, enhancement, and maintenance of risk reporting systems for derivatives trading businesses.
  • Work closely with Risk Management, Front Office, Finance, and Technology teams to gather, analyze, and document business and functional requirements.
  • Translate risk methodologies and regulatory requirements into clear system specifications and reporting logic.
  • Support and lead User Acceptance Testing (UAT) activities, including test strategy, test case design, execution coordination, defect triage, and sign‑off.
  • Validate risk calculations and reports, including VaR, sensitivities (Greeks), stress testing, P&L explain, and limit monitoring.
  • Ensure accuracy, completeness, and timeliness of risk data produced by trading and risk systems.
  • Assist with regulatory and management reporting related to market risk and derivatives exposure.
  • Partner with technology teams to support system upgrades, model changes, data remediation, and production issues.
  • Provide subject‑matter expertise on derivatives products and risk metrics throughout project delivery cycles.

Requirements

  • Bachelor's degree in Finance, Risk Management, Mathematics, Computer Science, or related discipline
  • 8+ years of experience as a Business Analyst, Market/Counterparty Risk professional, or similar role within financial institutions or capital markets.
  • Candidates working as System Analyst for finance system / risk reporting system will also be considered.
  • Strong hands‑on experience supporting risk management or risk reporting systems for derivatives trading.
  • Solid understanding of market risk concepts and calculations, including Value at Risk (VaR), stress testing, sensitivities/Greeks, and exposure metrics.
  • Proven experience in UAT with ownership of test cases, execution, defect management, and business sign‑off.
  • Deep knowledge of derivatives products (e.g. FX, rates, equity derivatives, options, swaps).
  • Ability to bridge business and technology, with strong skills in requirements documentation and stakeholder communication.
  • FRM certification (completed or in progress) is highly preferred.
  • Strong analytical mindset, attention to detail, and ability to work in complex, fast‑paced environments.

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