We are instructed on multiple market risk opportunities at reputable financial institutions in Hong Kong.
This is an exciting opportunity for Market Risk to join the growing platform. The role is responsible for market risk management for various asset classes including Equities, Fixed Income, Derivatives, Structural products, etc. You will also assist on developing and modifying risk models and tools.
Candidates must have at least 7 years’ experience in risk management, solid knowledge of Equities or Fixed Income products.
Please send your CV to Vivian Chen at vchen@ashford-benjamin.com, or call +852 2315 9503 for a confidential discussion.
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