Responsibilities:
- Build and implement a robust risk framework in accordance with internal risk management requirement.
- Investigating breaches in investment risk and follow up with appropriate actions.
- Assist in investment compliance and trading activities monitoring; assist in regulatory reporting as required.
Requirements:
- Advanced degree in Business, Finance, Economics or other related fields.
- 5-10 years of experiences in risk management within buy side or sell side.
- Strong technical ability in Excel and programing
- Strong communication in English is required
- Monitor counterparty risks within the funds and across the firm; assit in operational risk reviews with compliance team.