职位描述
1.Analyze daily risk exposures changes timely and understood risk drivers
2.Perform timely traded risk limit monitoring (market risk and counterpartly credit risk) and excess reporting and exscalation
3.Ensure risk exposures and regulatory risk measurements are auurately calculated and properly validated
4.Conduct risk exposure and regulatory risk measuremnet analysis and perform adhoc analysis to assist senior management to make risk decision
5.University graduate in Finance, Accounting, Risk Management related disciplines or quantitative subject
6. Fresh graduate or 1~3yrs relevant working experience in market risk management or control field