Financial Derivatives risk management

  • competitive
  • Beijing, Beijing Shi, China
  • Permanent, Full time
  • 中信建投证券股份有限公司
  • 20 Mar 19

Financial Derivatives risk management


Analyzing and evaluating product design, trade strategy, management system and procedure of financial derivatives in our company;

Analyzing relative risk of financial derivatives portfolio and designing monitor and quantity measurement index system;

Designing risk quantity measurement tool ,monitoring and evaluating everyday’s risk of financial derivatives and their relative investment;

Reporting and communicating with relative bodies about financial derivatives and their investment risk.


Master and above degree, major in financial engineering or statistic knowledge background;

Familiar to all kind of financial derivatives pricing theory and risk quantity measurement methods;

Independent capacity of computer program writing;

Excellent writing and oral expressing skill;

At least 3 years abroad relevant working experience.