during business development Compliance and Risk Management Strictly comply with relevant laws, regulations, and internal company... rules governing the securities industry to ensure operational compliance Assist in risk management to identify potential...
candidate has between 5 to 10 years of experience in Equity or Fixed income derivatives in a Market, Credit and liquidity risk... in a fast‑paced, innovative environment. Conduct independent risk management activities for global business lines, including...
Job Title: Equities eTrading Risk and Controls – Asia Corporate Title: Vice President Division: Global Markets... funds around the world. We act as market makers, trading in equity and fixed income securities, including currencies...
Experience in equity TRS, structure notes and exotic options Risk Management monitoring is a must Proficient in financial...Responsibilities Devise the risk management framework, policies and controls such as investment & operational risks...
of margin financing, credit risk, and equity derivatives. Hands‑on experience with risk systems, margin engines, and automation...Responsibilities: Oversee margin financing and credit risk management, including monitoring of margin requirements...
, processes, assets, and tools to develop and implement effective data driven solutions Support and deliver risk advisory...'s leading position in the provision of risk advisory services, e.g. participating in events and publications Contribute to the...
Industry Risk & Regulatory; Financial Crime Work you'll do Advance the ability to apply domain knowledge into building... and deliver risk advisory projects; producing high quality project deliverables as per the expected scope and timelines Support...
Equities & Risk Analyst, Middle Office - TOP investment bank A leading investment bank is seeking an Equities & Risk... Analyst to join their dynamic team. The role involves supporting post-trade activities across the full lifecycle of equity...
60,000 - 90,000/month FICC Risk Analyst/Associate Monitor daily risk across credit, macro, equity, and derivatives Prefer candidates... and English Model Risk Lead - OTC Derivatives Design and validate valuation and risk models Focus on equity and FICC...
have been among the top-tier in Asia in the past 10 years. Due to expansion, we are now looking for a Data/Quant/Risk Analyst... who can join us and provide strong support in the area of risk, trading, portfolio management and operations...
Join a well-known Investment Bank as Analyst in Synthetic Risk in the financial services industry... - you will be responsible for end-to-end post-execution support for all equity-based derivative activity in Asia. Client Details Join a well...
Join a well-known Investment Bank as Analyst in Synthetic Risk in the financial services industry... - you will be responsible for end-to-end post-execution support for all equity-based derivative activity in Asia. Client Details Join a well...
Responsibilities Perform day-to-day risk control on managed portfolio,covering products include Fixed Income、Equity...、Derivatives、ISDA、GMRA、MCA,Structure Note,ensure exposures and limits are well monitored and properly reported,propose risk...
Job Description As a Specialized Finance (SF) Risk, the Senior Credit Officer (SCO) will be responsible for the... second line of defence responsibilities related to credit risk, which involves oversight and challenge of risk management...
Industry Risk & Regulatory Financial Crime Work you'll do Lead team to solve business problems and deliver and implement... data driven offering solutions, lead and guide team on establishing proactive risk solutions by applying Deloitte...
daily risk management and assessment of OTC derivatives products including FX, IR, Equity, Commodity and structured products...Job Responsibilities Design, plan and implement the Counterparty Credit Risk Management Framework to ensure...
President with specialized experience and knowledge of equity products to join the Electronic Trading Risk Management (ETRM... working closely with stakeholders including Compliance, Technology, Business owners and the 2nd Line of Defense Risk...
Firm Risk Management Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering... with business units across the Firm to realize efficient risk-adjusted returns, acting as a strategic advisor to the Board...
/ risk management experience. Product knowledge of various asset-classes including equity, fixed income, listed and OTC... Business Control Unit (BCU) Risk Management team operates within the Asia Private Wealth Management business as the first line...
in risk management and / or quantitative field in a sell‑side institution. Knowledge of Equity markets and products is a key...Firm Risk Management Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering...