Equity Derivatives-Market Risk Manager

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Job Title:
EQUITY DERIVATIVES-MARKET RISK MANAGER
Job Description:
Job ID(16183 )
A premier International Bank in Hong Kong is looking for a Senior Market Risk Manager for its merchant bank trading activities. The firm actively underwrites and trades in equity, equity derivatives, fixed income and commodities. The role is responsible for managing a group of market risk analysts who set trading limits, review & approve requests for trading desk & customer market risk limit changes, & evaluate the risks of exotic and structured transactions. The candidate must have at least 5 years of market risk management experience in a derivatives trading room environment, an advanced quantitative degree, CFA or FRM a plus, solid programming skills [VB,SQL] and the personality to work closely with an active trading desk.

Recruiter: Jim Geiger

Salary: Compensation Competitive Location: Hong Kong
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Job Categories: Derivatives/Futures/FX & Structured Transactions, Equity Research, Sales & Trading, Risk Management
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