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Risk Manager - Market Risk Management
Job duties: Participate in the implementation/upgrading and testing of the treasury systems Perform product due diligence and provide quantitative support to the new treasury products Participate in improving market risk models and monitoring the related model risk Prepare market risk reports for senior management Requirements: Degree holder (Major in Risk Management, Quantitative Finance, Financial Engineering, Statistics, Math or related finance discipline) At least 3 years' experience in market risk, trading or other related areas Strong knowledge in market risk models and Basel regulatory requirements is preferred Strong analytical mindset, good communication an


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