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Market Risk Senior Associate
Responsibilities: Assist in analysing and assessing credit risk of fixed income securities Develop assessment models to monitor exposure of FICC products Prepare regular market risk reports to management on risk monitoring Assist in review of market risk limits and triggers Assist in assessing investment proposals Requirements Bachelor Degree or above in Finance/ Business /Accounting or Quantitative discipline. CFA/FRM a plus Be familiar with industries such as Property, LGFV, Financial and so on. Be proficient in analyzing financial reports and have macroeconomic common sense 3-4 years of experience in risk management (preferably in investment banks),


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