A leading financial services group in Hong Kong is searching for an Associate, Market Risk to join its team.... In this role, you'll monitor and manage market risk across rates and credit portfolios, prepare risk dashboards, and collaborate...
Overview A financial services group in Hong Kong is seeking an Associate, Market Risk to assist in monitoring.... Key responsibilities Work with Asia sales and trading teams to monitor and manage market risk across rates and credit...
-on experience in risk management and work with experts across the business. As a Risk Analyst - Associate in Markets Asset...Job Category: Asset Servicing Job Description: Be part of a team that safeguards market integrity. Gain hands...
A leading financial services provider in Hong Kong is seeking a Compliance Associate to monitor regulatory developments...
proprietary trading and asset management. They are strengthening their Market Risk function and are looking for an experienced...? In this position, you will support the Market Risk Team Head and be involved in: Daily monitoring of market and credit risk...
Market Risk/Model Risk/Quantitative Risk Hiring - Multiple Roles Across Leading Financial Institutions (Hong Kong... validation of critical models (market risk VaR, credit risk PD/LGD, derivatives pricing, etc.). Bilingual in Chinese and English...
Job Title: Analyst/Associate, Credit Risk Management Department: Risk Management Department Position Summary... impacts from credit events or market downturns. - Assess key fixed income risks including interest rate risk (duration...
independent identification, analysis, reporting and escalation of all credit, market, operational and liquidity risk exposures... Role We are seeking an Analyst or a Associate with first or second line experience in managing credit risk within the...
A financial services institution in Hong Kong is looking for an Associate, Operational Risk to support enterprise risk... administration, cross-functional collaboration, and data integrity. Key responsibilities As an Associate, Operational Risk...
and escalation of all credit, market, operational and liquidity risk exposures arising from business activities, acting independently... Risk Officer and senior management. About the Role We are seeking an Analyst or a Associate with first or second line...
identification, analysis, reporting and escalation of all credit, market, operational and liquidity risk exposures arising... an Analyst or a Associate with first or second line experience in managing credit risk within the wealth management space...
Recruit Ref: L0604214047 Posting Date: 2026-02-10 PwC Senior Associate/Manager - Risk and Regulations - FS... - Consulting - Hong Kong Service Risk and Regulations (R&R) - Governance, Risk and Compliance & Internal Audit (GRC&IA...
. About the job: We are looking for a motivated professional to join BBVA Asia’s Credit Risk team as an Associate, focused... on Structured Finance. In this role, you will support the credit risk assessment, structuring review, and ongoing monitoring...
identification, analysis, reporting and escalation of all credit, market, operational and liquidity risk exposures arising... an Analyst or a Associate with first or second line experience in managing credit risk within the wealth management space...
, Economics Description We are looking for a motivated professional to join BBVA Asia’s Credit Risk team as an Associate...Familiarity with TMT, infra and energy sectors Support the credit risk assessment Bachelor’s degree in Finance...
We are looking for high-calibre individuals to join the Operational and Technology Risk Department for serving the HKMC... Group. Job Descriptions: Formulate and maintain operational and technology risk management frameworks and policies...
We’re seeking someone to join our Valuation Control team as a Valuation Risk Controller in Global Corporate Controls.... This is an Associate level position within the within our Corporate Controllers, Reporting & Accounting Job Family which is responsible...
development & implementation involving new products, clearing houses market risk, investment market risk and liquidity risk... At least 4-8 years of relevant experiences working in financial markets, experience in market and/or liquidity risk management...
including corporations, governments and individuals from more than 1,200 offices in 43 countries. As a market leader, the... part of our culture. Department Profile The cornerstone of Morgan Stanley's risk management philosophy is the execution...
and escalation of all credit, market, operational and liquidity risk exposures arising from business activities, acting independently... Risk Officer and senior management. About the Role We are seeking a Associate/Analyst with first or second line...