The Market and Valuation Risk Management group is responsible for independent valuation of balance sheet positions, predominantly across the Corporate & Investment Bank
Job Summary
The Market and Valuation Risk Management group is responsible for independent valuation of balance sheet positions, predominantly across the Corporate & Investment Bank.
Key responsibilities include identifying and escalating potential off-market exceptions and ensuring key economic terms of exotic trades are appropriately represented.
The company offers a competitive salary, attractive retirement benefit, and medical and life insurance upon employment.
Matching Summary
The Market and Valuation Risk Management group is responsible for independent valuation of balance sheet positions, predominantly across the Corporate & Investment Bank.
Skills & Requirements
Must-have
Market Conformity Control
Exotic Trade Review
independent valuation
financial markets products
control gaps identification
Nice-to-have
critical thinking
continuous improvement
multi-cultural setting
flexible work arrangements
Key Requirements
Bachelor's Degree in Math, Statistics, Accountancy, Financial Engineering, Finance or equivalent
Professional qualification or study (CIMA, CPA, CFA, FRM, or Master’s Degree) will be an advantage
Previous work on programming or data analytics is preferred