Ashford Benjamin is partnering with a Global Investment Bank that is looking to expand its APAC Market Risk management team in the region, with roles based in Hong Kong.
In this role, you will provide dedicated coverage to the APAC Equities trading desk and be responsible for real-time risk monitoring, daily P&L attribution, and the analysis of complex market risk exposures. You will oversee key risk metrics such as Greeks, VaR, and stress testing, ensuring alignment with global risk frameworks and participating in automation and enhance portfolio analytics.
Candidates must have at least 6 years’ Market Risk experience, familiar with APAC Equities products.
Please send your CV to Vivian Chen at vchen@ashford-benjamin.com, or call +852 2315 9503 for a confidential discussion.
To apply for this job email your details to vchen@ashford-benjamin.com
