Market Risk Manager – Fixed Income – Vice President – Leading Investment Bank

  • Excellent for the right candidate
  • Hong Kong
  • Permanent, Full time
  • Cornerstone Global Partners
  • 23 Sep 16

As a result of expansion, my client a leading global investment bank is looking to recruit an experienced Market Risk Manager to join its Market Risk Management team in Hong Kong.

The Market Risk Manager will be responsible for supervising daily and weekly risk reporting and independent risk monitoring of trading books across Asia Pacific, performing details risk analysis and stress testing on trading portfolios and due diligence on one-off approval requests on new products or payoffs. The incumbent will support and maintain the control environment in accordance with the Market Risk Management framework including limit reviews, maintaining risk mandates, reserve methodology etc. and lead and/or participate in cross platform quantitative projects to improve the existing market risk framework. The jobholder will provide support to the Front Office on various ad hoc requests and risk analysis and support head office on global risk issues, provide support and guidance to other risk functions such as product control, credit risk and operational risk and provide support to local regulators on Market Risk related matters.

The successful candidate will be a specialist with hands on experience with Fixed Income derivative products (including Interest Rates, FX and Credit) with at least 8 years’ experience gained at a major investment bank. Applicants will need to have a quantitative background in science, mathematics or engineering and demonstrate excellent knowledge of current financial regulations.

If you have the relevant background and experience please send an up-to-date copy of your CV to Successful candidates will be contacted for further discussion. If you are not contacted your details may be retained for discussion about opportunities in the future.