Vice President, Prime Risk Apac Analyst

Barclays

Hong Kong, Hong Kong
Cross-asset market knowledge
Financing and clearing understanding
Quantitative analytics
Serve as the First Line of Defence for the firm’s financing liquid business, spanning cash prime brokerage, synthetic financing, derivatives clearing, and repo financing across multiple asset classes

Job Summary

  • Serve as the First Line of Defence for the firm’s financing liquid business, spanning cash prime brokerage, synthetic financing, derivatives clearing, and repo financing across multiple asset classes.
  • Engage directly with major clients to manage counterparty risk, design frameworks, and structure terms aligned with underwriting standards to maximize risk-adjusted returns.
  • Collaborate with internal stakeholders and lead initiatives with technology partners to enhance risk analytics, visibility, and management tools.

Matching Summary

Serve as the First Line of Defence for the firm’s financing liquid business, spanning cash prime brokerage, synthetic financing, derivatives clearing, and repo financing across multiple asset classes.

Skills & Requirements

Must-have

  • Cross-asset market knowledge
  • Financing and clearing understanding
  • Quantitative analytics
  • Data analysis with Python/Jupyter
  • Risk management across regions
  • Counterparty risk management

Nice-to-have

  • Strong interpersonal and collaborative skills
  • Experience with control partners
  • Strategic thinking and business acumen
  • Familiarity with digital tools and AI
  • Change management and transformation

Key Requirements

  • Bachelor's degree in quantitative field
  • 5–7 years experience in front office financing
  • Proven ability to interact with stakeholders
  • Strong problem-solving capabilities
  • Role regulated by HKMA or SFC

Work Rights

Legal Right to Work

Tailored Resume

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