Manager- Financial Institution


3 to 5 Years hong-kong
Financial Reporting,Financial Management,Analytical Skills,Organization Skills 23-Oct-2019

Job Description :

Duties:

  • Perform risk management of FICC, fund, equity, structured product positions, analyse P/L events, VaR movement
  • Risk monitoring reports with a number of risk management measures on regular basis
  • Conduct investigations and analysis into risk, market, or modelling issues as required.
  • Requirements:
  • Degree holder in Finance, Risk Management or Business Administration
  • Min 3 - 5 years of risk management experience
  • Communication skills in English, Cantonese and Mandarin
  • Excellent managerial skills.

Industry :

Finance / Treasury

Employment type :

Full time

Company Details :

Randstad

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