- Sizable foreign securities brokerage
about the job.
- Manage and monitor risk exposure in client level and product level
- Propose product LTV ratio for investment products, including equities, fixed income, structural products and mutual funds
- Arrange structural loan proposals and on-going monitoring
- Assist in automating existing credit risk report production through Excel visual basic enhancement
- Coordinate daily operations including trade support, block trades, placement & IPOs, error handling, etc.
- Assist in IPO booking, manage trade confirmations and allotment result notification process
- Involve in preparation of group exposure risk analysis
- Coordinate and support risk management projects
skills & experiences required.
- Degree or Diploma holder
- 1-2 years of relevant experience in financial services industry, with exposure in credit risk/ credit control an advantage, fresh graduates are welcomed
- Proficiency in any programming skills (Python, VBA, SAS)
- Basic knowledge in investment products and derivatives
- Keen interest in developing a career in financial risk management
- Good communication skills in both Cantonese and English
To apply online, please click on the link. Alternatively, for a confidential discussion please contact James Cheng on + 852 2232 3442 or email: james.cheng@randstad.com.hk