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1.Proficient in market and liquidity risk management, such as setting relevant trading limits and monitor trading book risk parameters etc. 2. Take charge of public fund product risk rating 3.Act as a general role in other risk management (Market, Credit, operational, liquidity) 4.Assist Head of Risk Management on ad-hoc risk-related initiatives and projects as and when required 5.Familiar with SFC
The successful candidate is likely to hold a strong Bachelor's degree in Risk Management / Statistic etc.
At least 5 years in related experience. Experience with a financial services company (e.g., pensions, investment management, insurance, banking of financial consultancy)
Good communication skill.
Proficient in English and be able to speak in Mandarin.
Hong Kong Permanent / IANG / Hong Kong Dependant visa are essential.
Welcome to call Mr. Lam by 3589 6896 for confidential discussion and send CV to me with current & expected salary and notice period.