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AVP Market Risk (Investment arm of Tier 1 Chinese Bank)
The client is the investment arm of a Tier 1 Chinese Bank Description Generate periodic risk reports and dashboard, identify and quantify market and liquidity risk exposures associated with investment activities Monitor market and liquidity risk for investment portfolios including stress testing and scenario analysis, Value at Risk (VaR), DV01, duration, liquidation cost/horizon Send early warnings and risk alerts to front office and senior management based on market developments Ongoing pre-trade and post trade investment rules setup and monitoring. Ensure proper escalation, authorization and reporting for any limit excesses or breach of investment guidelines Liaise and communicate effectively with internal and ex
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