Financial Resources Management Analyst - Top US Bank

Michael Page

  • Central, Hong Kong
  • Temporary
  • Full-time
  • 14 days ago
Our client is one of the largest US investment banks that mainly provides investment and wealth management services. The department is currently looking for a Financial Resources Management Analyst to handle financial resources management, collateral operation and counterparty risk operation. The successful candidate should have at least 1 years of working experience in relevant field within banking industry.Our client is one of the largest US investment banks that mainly provides investment and wealth management services. The department is currently looking for a Financial Resources Management Analyst to handle financial resources management, collateral operation and counterparty risk operation. The successful candidate should have at least 1 years of working experience in relevant field within banking industry.客户简介Our client is a well-known established US investment bank that provides wealth and investment services for more than 400 years of history in over 40 countries. They are currently looking for a Financial Resources Management Analyst to be responsible for financial resources management, collateral operation and counterparty risk operation, supporting middle office risk support function.工作内容
  • Manage daily exposure and collateral optimization for firm inventory through CCPs, triparty arrangements, or bilateral transactions, ensuring that the firm meets its liquidity and capital optimization targets.
  • Proactively identify and explore tactical and strategic solutions to address control gaps, collaborating with other teams as necessary.
  • Maintain a strong focus on enhancing controls while continuously improving processes to minimize operational risks.
  • Monitor and escalate any counterparty and credit risks arising from the Institutional Equity Derivatives and Prime Brokerage business on a daily basis.
  • Ensure accurate margining and credit approvals on a trade-by-trade basis.
  • Monitor exposure related to specific underliers or countries, as well as portfolio composition against defined risk parameters (such as long or short volatility and delta).
  • Conduct ad hoc credit analysis and calculate credit exposure in response to market events.
理想的求职者
  • Bachelor's Degree holder of business administration or relevant discipline
  • 1-2 years of working experience under financial resources management or relevant field within banking industry
  • Good client servicing and communication skills
  • Strong attention to detail, technical skills with clear and logical manner
  • Work collaboratively with team member
  • Strong quick learning ability to understand policies, procedures, systems, process and controls
  • Excellent of written and verbal communication skills in English and Chinese
福利待遇
  • Stimulating and challenging work
  • Great global exposure
  • Competitive remuneration package
  • 15 days of AL
  • Medical benefits
To apply online please click the 'Apply' button below. For a confidential discussion about this role please contact Michelle Leung on +852 3602 2489.

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