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Texas Permanent School Fund Corporation

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Texas Permanent School Fund Corporation

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Market Risk AVP
A large Chinese investment bank is looking mid level Market Risk professional to support their Equity and FICC market/products Responsibilities: Perform day-to-day risk management of FICC and Equity positions, analyze large P/L events, VaR movement, ensure limits are well monitored and properly reported, identify material risks and propose risk mitigations; Create and produce/automate risk monitoring reports with a number of risk management measures including performance and attribution analysis, concentration analysis, stress testing, beta and VaR calculation etc Ensure VaR and capital calculations are correct and reviewed in a timely manner; Development and modification of simple mark risk models or tools to perform necessary analysis on t


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