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Reporting to the Head of Product Risk Management, your main responsibility is to support the team on all aspects of Markets & Wealth Management for the region, including updating and reviewing product risk ratings, investigate anomalies and justify necessary adjustments, as well as document processes, reports and other records for audit trials. You will work with regional and Global Risk Management teams on ratings adjustments and other ad-hoc projects.
To qualify for this position, you should have 2 - 3 years of experience in banking and finance. Candidates should have a fair understanding of products including equities, bonds, funds and derivatives. Previous exposure to HKMA/MAS regulatory framework and strong Excel skills particularly with Macros and VBA coding will be a plus, and you must have strong communication skills in English and Chinese.
To apply for this job Contact: Osborne Mak quoting job ref: VSA-1388 Telephone: 852 - 2525 8820 Email: email@example.com