• Expansion Headcount, Global Private Bank
  • Market & Liquidity Risk Mgmt/Reporting
  • Cross asset classes of Investment Products

Our Client

Job Duties

  • Report to the Regional Head of Risk Management
  • Monitoring market and liquidity risk mgmt in accordance to the regulatory requirements & corporate governance
  • Provide guidance to front office and product teams and on-going framework review along with the support of compliance
  • Facilitate regional new businesses/products initiatives by collaborating with HQ & SGP offices


  • FRM or well qualified candidate 
  • 4yrs+ market & liquidity risk management experience with strong multi-asset classes of derivatives product knowledge 
  • Good understanding with HKMA/SFC regulatory requirements
  • Understanding of Private Banking Business is highly desirable 
  • Proficient in Excel
Industry : Banking & Finance
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