Job ref no.: CT3115703-01#2262

FIC Valuation & Risk Analyst

Societe Generale Hong Kong Branch


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


  • 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

Interested parties please click Apply Now to apply job.

All applications applied through our system will be delivered directly to the advertiser and privacy of personal data of the applicant will be ensured with security.

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