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Our client is a leading Corporate & Investment bank with their Regional Asia Pacific Office in Hong Kong. They offer a range of financial services to institutional investors and corporations around the world. They are currently seeking for an outstanding individual to join their product control team. Based in Hong Kong, you will lead a team to support the Asian Equity Derivatives trading businesses and be responsible for the preparation of Daily P&L and Risk Position monitoring and reporting. You will perform P&L analysis by trading books, products / markets, ensure that the trades are mark-to-market properly, and deal with traders on any trading position queries. Other responsibilities include reconciliation of trading system versus back office systems, balance sheet controls and month-end closing. You will also assist in ad-hoc tasks, such as New Deal analysis, and work closely with regional and global counterparts on new product or project initiatives. To be considered, you must be a degree holder with a minimum of 8 years in Product Control experience within a sizeable financial institution. You need to possess solid knowledge across Equity-linked instruments, such as Swaps, Arbitrage, Convertible Bonds, Exotic & structured products etc. Excellent communication skills in written and verbal English is essential. Successful candidate must be able to demonstrate good computer skills, ability to work under pressure and strong analytical skills. Interested applicants should send a detailed resume to Bryan Lim by email to blim@ric.com.hk or by fax to (852) 2838 3323 quoting reference eFC1370. (Applicants not contacted within 4 weeks should consider their application unsuccessful.)
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