Risk Manager for OTC Derivatives
4 days ago
- Bachelor's degree in Mathematics, Finance, Economics or quantitative discipline (advanced degree preferred); FRM certification strongly favored.
- Deep expertise in cross-border operations, derivative instruments, and brokerage services.
- Minimum 5 years' progressive hands-on experience in counterparty credit risk management at leading banking/securities institutions (international banks preferred).
- Working knowledge of Basel regulatory standards, particularly CCR capital modeling requirements, will be advantageous.
- Demonstrated ability to collaborate effectively with senior leadership and cross-functional teams.
- Advanced programming proficiency (C++, Python).
- Superior bilingual communication skills in Mandarin and English.
This is a mid-senior level position that requires full-time employment. The ideal candidate will have experience in financial services, investment banking, and investment management.
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