(Senior) Financial Risk Manager (Product Control - FX & Bullion)

  • Competitive
  • Hong Kong
  • Permanent, Full time
  • Bank Of China (Hong Kong) Limited
  • 20 Feb 18 2018-02-20

(Senior) Financial Risk Manager (Product Control - FX & Bullion)

Responsibilities:

  • Attain effective product control and valuation control under trading book, such as daily valuation, independent price verification, PNL analysis, position and PNL reconciliation and market conformity checking.
  • Coordinate or participate in treasury business development or related system enhancement projects
  • Strengthen product control functions, streamline or revamp work flow and maintain related policy and procedures
  • Communicate internally and externally to improve control and analysis quality
  • To handle other ad-hoc tasks as assigned

Requirements:

  • Degree with major in Financial Engineering, Quantitative Finance, Risk Management, Finance or related disciplines.  Possessing professional qualification preferred.
  • 4-6 year of working experience in FX & bullion product control, valuation control and/or risk management. Relevant experience in South East Asia is an advantage.
  • Proficiency in financial instruments & market operations.
  • Independent, strong analytical and quantitative abilities, strong communication skill, and good time management  
  • Strong team player. Supervisory experience is an advantage.
  • Excellent written and oral English and Chinese, Mandarin preferred