Job ref no.: CT3115703-01#2262

FIC Valuation & Risk Analyst

Societe Generale Hong Kong Branch

Mission

As a junior Valuation & Risk Analyst focusing on Fixed Income (FIC) activity, you will be responsible of the production, analysis, comments and diffusion of the official economic P&L and market risk metrics of your perimeter. The role is also responsible for facilitating trading desks on ad-hoc reporting and analysis needs linked to P&L and risk. Your mission will consist of (but not be limited to) :
  • PnL and market risk metric certification
  • Monitor market risk limits and follow up breaches
  • Support business lines, risk and finance departments on evolution and ad hoc requests

Profile

  • Top-level school, major in Finance or Engineering
  • Minimum 4 years experience in market risk, product control or other similar function (Associate Level)
  • Good understanding of capital market, and in particular the strategies and products on the equity derivative
  • Good understanding of valuation and risk of FIC products, and the control frameworks applied
  • Understanding of accounting principles, change experience, VBA skills is a plus
  • Fluent English compulsory
  • Pro-active, swift, analytical, rigorous, able to multi task and work under pressure, team player
  • Good communication and organizational skills, professional maturity, change leadership and vision

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More job information
Job ref no. CT3115703-01#2262
Salary
  • N/A
Job Function
Industry
Employment Term
  • Permanent
  • Full-time
Experience
  • 4 years - 9 years
Career Level
  • Non-management level
Education
  • F.5- F.7 or DSE