Senior Risk Management Executive
Job Description : Market risk management of physical and paper trading Analyse P&L and exposure of paper and physical deals Verify the daily statements of clearing banks and calculate margin call Verify deal inputs to ensure accuracy on daily basis Ensure adherence to company’s trading policies and comply with established processes. Prepare daily and monthly market risk reports. Development and implementation of market risk framework and policies. Provide support for all market risk analysis related functions Other duties assigned by superior Requirements : Candidate must possess a Degree in related field or equivalent Effective team player with at least 3 years of relevant working experience Self-motivated and be able to work under pressure and have sense of urgency Bilingual in English and Mandarin preferred to liaise with Mandarin-speaking counterparts