Opportunity

Position:
Reference number:
1212
Function: Risk Management
Specialism: Credit Risk
Location: Hong Kong, China
Geographical coverage: All of Asia
Industry: Financial
Financial product: Derivatives
Years of experience: 5+
Language: English
Position type: Full-time
Date posted: 1st January, 1970

An exciting opportunity has arisen at a top tier US investment bank to join their Global Market Risk Team as an Issuer Risk Senior Manager.

Located in Hong Kong, the successful candidate will be part of the Global Market Risk Team, covering issuer risk and counterparty risk management with a focus on product risk such as analyzing derivatives.  To be successful for this role, you will need to have 5-7 years of relevant experience, and be familiar with Capital Market products, especially derivatives.  A good understanding on credit analysis on Financial Institutions in Asia Pacific and good presentation and credit writing skills are also essential.  In addition, candidates will be expected to have a quantitative orientation in academics with prior exposure to Bloomberg.  If you would like to learn more about this opportunity please call Aquis Search on +852 2537 0333 for a confidential discussion or email your details to risk@aquissearch.com

If you would like to learn more about this opportunity please call Aquis Search on +852 2537 0333 for a confidential discussion or email your details to

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