Risk Manager for Asset Management Business

Location: Beijing
Job Type: Permanent
Reference: 02_280818
Sector: Risk Management

Responsibilities:

  • Work with business line and other risk and support functions (i.e. Compliance, Finance, Operations, etc.) on resolution of various risk issues
  • Perform risk analysis and performance evaluation for portfolios
  • Improve current risk management practice and platform
  • Manage the production and development of management information reports
  • Be familiar with asset management rules and regulations

Knowledge:

  • Thorough understanding of risk management concepts and techniques
  • Deep knowledge of the capital markets and various financial products
  • Good implementation skills in risk and performance evaluation infrastructure

Skills and Abilities:

  • Passionate for the risk management job
  • Strong quantitative and analytical ability
  • Experience in derivatives pricing is preferred
  • Good skills in database, C++, VBA are preferred
  • Excellent verbal and written communication skills both in Chinese and English
  • Good problem-solving skill
  • Creative thinking
  • A team player
  • Self-motivated & energetic

Qualifications:

  • Above 5 year experience in trading/risk management  in reputable Asset Management firms or hedge funds
  • Master degree or above in risk management, mathematics, or other quantitative related majors from top universities
  • FRM plus