The position is a role in Market Risk Management in the AeJ Credit Trading Market Risk team. The candidate will be involved in all aspects of the Credit Products business including the flow credit trading, structured and flow financing, and private credit.
The individual will be taking the team lead in covering AeJ Credit Products. The role will include stress analysis, review of risk positions, discussing risk exposures and concerns with senior risk managers and traders, and escalating risk issues to senior risk managers as needed.
Understanding the credit bond markets, products, and their derivatives in Asia
Daily review of risk exposures
Developing and maintaining risk metrics and analytic tools, along with recommendation for improvements to risk reporting
Work closely with front office to assess risk and business strategy, as well as other corporate functions such as MVG, IPV, IT, and Ops
Review committee/transaction approvals
Daily recap of markets, P&L and Risk
Minimum 7 years of experience in trading or market risk in Credit markets
Intellectual curiosity and a passion for understanding financial markets
Strong analytic background and a good understanding of the risks from derivative products
An understanding of option pricing models and the associated sensitivities to changes in the market
Strong communication skills (both written and verbal) as the candidate will be working with a large number of groups within Risk and outside of Risk and should be able to convey complex topics to a wide audience
VBA, Python, SQL and database skills
If you are interested in finding out more about this career opportunity, please email your resume to Nestor Roldan, firstname.lastname@example.org Web: www.charterhouse.com.hk
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