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Corporate Bank - Market Risk Senior Manager/ Manager

  • Location

    Hong Kong

  • Sector:

    Financial Services and Banking

  • Job type:


  • Contact:

    Winifred Tsang

  • Contact email:

  • Salary high:


  • Salary low:


  • Published:

    about 1 month ago

  • Expiry date:


  • Startdate:


My client is a corporate and private bank headquartered in China, with over $3billion RMB assets last year. They are currently hiring a Market Risk Senior Manager/ Manager for the Hong Kong branch. Apart from the attractive salary, the role can offer high independency and flexibility in work.


Key Responsibilities:

  • Prepare regular market risk reports on risk identification and monitoring
  • Analyze, assess and comment on the relevant risks in new businesses/ products
  • Support stress testing/back-testing exercises
  • Regular review of market risk limits and triggers
  • Handle the Operational Risk system to coordinate the operational risk control 


  • Bachelor's degree or above in finance/business or quantitative discipline. CFA / FRM is a plus
  • Strong analytical capability and Excel skills (VBA is a plus)
  • Over 3 years of experience in risk management
  • Familiar with various risk control indicators such as FX Delta, Vega, VaR, DV01 is a MUST
  • Market risk experience in FX and bonds is preferred
  • Experience in Chinese report/policy writing and using Bloomberg (TOMS, AIM) is highly preferred


For interested parties, please contact Winifred at +852 2777 6277 or for further discussions.