2 周前发布

Derivatives Risk Officer

Guosen Securities (HK) Financial Holdings Company, Limited

职位描述

Responsibilities:

  • Monitor daily market risk exposures across derivatives, bonds, equities, and futures portfolios;
  • Analyze VaR, sensitivities (Greeks, duration, convexity, beta, etc.), and stress test results, ensuring accurate reflection of market movements;
  • Assess counterparty credit exposure and margin requirements under SIMM or SA-CCR methodologies;
  • Conduct scenario analysis and backtesting to evaluate model robustness and portfolio resilience under extreme conditions;
  • Support new product due diligence across asset classes, ensuring risks are properly identified, measured, and approved before trading;
  • Collaborate with Front Office, Risk Analytics, and Treasury to monitor liquidity risk and ensure sufficient collateral and funding coverage;
  • Enhance and automate risk reports, limit dashboards, and risk monitoring processes for greater transparency and efficiency;
  • Contribute to the review of risk policies, limit frameworks, and internal risk governance materials;
  • Assist in regulatory submissions, internal audits, and stress testing exercises.

Requirements:

  • Bachelor’s or Master’s degree in Finance, Economics, Mathematics, or related discipline;
  • 3–5 years of experience in market or counterparty risk management, ideally covering multi-asset products;
  • Solid understanding of derivative pricing, bond valuation, and equity/futures market risk dynamics;
  • Familiarity with VaR, stress testing, and exposure measurement models;
  • Knowledge of regulatory frameworks such as Basel III, SA-CCR, and margin requirements is preferred;
  • Strong analytical and technical skills; proficiency in Excel/VBA, Python, or SQL preferred;
  • Excellent communication and stakeholder-management skills with strong attention to detail;
  • Professional qualifications such as FRM, CFA, or PRM are a plus;
  • Hands-on experience with risk systems (e.g.,Bloomberg MARS, RiskMetrics);
  • Understanding of interest rate, FX, equity, and credit markets;
  • Ability to interpret complex risk metrics and translate them into actionable insights for management;
  • Team-oriented, proactive, and comfortable working in a fast-paced trading environment.

Attractive remuneration will be offered to the right candidate. Interested parties please email your full resume with present & expected salary and date of availability via "Apply Now".

其他细节

职位空缺来源
CPjobs
参考编号
Joo-4227991
发布日期
2025年11月20日
关键词
Financial Services, Investment, Securities, Banking, Finance, Bachelor Degree
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