Assistant Vice President - Market Risk Management

Mitsubishi UFJ Financial Group

Hong Kong, Hong Kong
Market risk monitoring for rates and credit
Stress testing and portfolio risk analysis
Capital adequacy and regulatory compliance
This pivotal role offers you the opportunity to work at the heart of market risk monitoring, focusing on rates and credit desks, structured financing trade risk analysis, illiquid asset risk measurements, issuer risk assessment, and portfolio stress analysis

Job Summary

  • This pivotal role offers you the opportunity to work at the heart of market risk monitoring, focusing on rates and credit desks, structured financing trade risk analysis, illiquid asset risk measurements, issuer risk assessment, and portfolio stress analysis.
  • Join a highly collaborative Asia Market Risk Management Team where your input will shape key decisions on market risk monitoring for rates and credit products.
  • Benefit from flexible working opportunities and continuous training designed to support your career progression in a globally recognised financial institution.

Matching Summary

This pivotal role offers you the opportunity to work at the heart of market risk monitoring, focusing on rates and credit desks, structured financing trade risk analysis, illiquid asset risk measurements, issuer risk assessment, and portfolio stress analysis.

Skills & Requirements

Must-have

  • Market risk monitoring for rates and credit
  • Stress testing and portfolio risk analysis
  • Capital adequacy and regulatory compliance
  • Dashboard and reporting tool design
  • Collaboration with regional and global teams

Nice-to-have

  • Experience with AI-driven reporting tools
  • Fluency in English and another Asian language
  • Flexible working and prioritisation skills
  • Strong interpersonal and communication skills
  • Collaborative mindset in multicultural environments

Key Requirements

  • Minimum five years market risk management experience
  • Strong product knowledge of Rates and Credit in Asia
  • Experience in capital adequacy monitoring
  • Knowledge of Volcker rule compliance
  • Advanced quantitative skills in stress testing
  • Fluency in English

Work Rights

Not specified

Tailored Resume

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