- Well established brokerage firm backed up by a sizable financial group
about the team.
- Stable team and harmonious working environment
about the job.
- Support overall credit risk management of retail, wealth management and institutional clients; manage credit risk exposure from product, counterparty, enterprise and client perspectives
- Propose product LTV ratio and ongoing risk monitoring for investment products including equities, fixed income, futures and options, OTC derivatives, structural products, mutual funds, etc
- Arrange structural loan proposals and on-going monitoring
- Support margin call and credit limit applications
- Coordinate operations including client’s fund withdrawal, trade support, block trades, placement & IPOs, error handling, etc.
- Assist in regulator's queries and investigations
skills & experiences required.
- Bachelor degree or above in accounting, finance, risk management related disciplines
- CPA/FRM qualified is a plus
- 2-5 years of relevant working experience in credit risk/ credit control/ margin financing/ operations from securities brokerage background or relevant financial institutions
- Familiar on Hong Kong stock and derivatives markets
- Computing skills such as VBA, SAS would be a plus
- Excellent command of written and spoken english and chinese
To apply online, please click on the link. Alternatively, for a confidential discussion please contact James Cheng on + 852 2232 3442 or email: james.cheng@randstad.com.hk