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CV Ingénieur, Bac+5
en finance de marché

Toutes nos offres d'emploi et de stage en finance de marché

    Mis à jour le jeudi 9 février 2012   

 
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Voir les 3 annonces d'emploi de SELBY-JENNINGS-HONG-KONG


Market risk manager-cross asset-Asia–Hong Kong-Excellent base salaries and outstanding bonus potential





A number of tier 1 investment banks and top financial institutions are looking for market risk managers currently looking for new career opportunities.
The market has seen a recent upsurge in fortunes since the economic crash and a number of financial institutions are looking rapidly increase its headcount in the coming months.

As a key member of the Market Risk team, you will be assisting in the assessment, approval and reporting of all risks deriving from a diverse range of trading businesses in the Asian region.  This sought after position offers an excellent opportunity to apply your risk skills and experience in a commercial role, working closely with Executives from all Asian trading divisions within the Bank and other risk management personnel. These institutions are strongly committed to building up its platform in this area and need commercially aware risk managers to develop the risk strategy, methodology, hedging and trading strategies surrounding this product.

Some of the responsibilities within these institutions are:
-You will review and analyse a diverse range of new business and product proposals and address any market risks, arising from the Asian based trading activities in equities; FX, interest rates and commodities,
-Accountable for providing advice and guidance regarding market risk exposures,
-Review and develop the banks overall market risk framework,
-Develop and maintain strong working relationships with the Asian based trading businesses and other areas of the Risk Management Group,
-Work closely with the front office in developing the risk strategies of the business,
-Be the first point of contact on all issues for market risk.

The successful candidates for these roles are likely to possess the following background and skill set:
-Market risk management experience,
-Very strong analytical skills,
-Worked across either fixed income, FX, commodities, Equities, interest rates and traded credit products,
-Good communication skills–must be able to understand others' perspectives and relate complex ideas to different groups, including senior management,
-The ability to challenge proposals constructively to help ensure they are robust, whilst maintaining excellent working relationships,
-Must be able to work effectively in a team, flexibly handling a wide range of potential issues,
-Must be capable of working with significant autonomy and ensuring analysis is focused on delivering practical business benefits, often in tight timescales.

This position provides the successful candidate with an excellent opportunity to develop their career within a leading financial institution.
These firms have seen record profits in the past year and are looking to rapidly expand their risk platform with leading risk professionals in the market.

If you would be interested in discussing these positions further please send in your resume by mail.


Apply by email.
Please do not modify the subject of the mail or your application will not be considered.
 

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