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Junior market risk analysts needed for global investment bank in Sydney, Autstralia [competitive salary + benefits]
Background: The Group is a global provider of banking, financial, advisory, investment and funds management services.
The bank's main business focus is making returns by providing a diversified range of services to clients. The bank acts on behalf of institutional, corporate and retail clients and counterparties around the world.
The bank's approach to risk management is long-standing. Strong risk management practices are embedded in business unit management with central oversight of credit, market, funding, compliance and operational risk. These, together with committed, quality staff are key drivers of the banks success.
The Market Risk Department works closely and engages in ongoing dialogue with senior management and deal teams across all business units to identify relevant market risk issues and opportunities for growth. Central to the Departments operational model is to partner with our businesses on transactions as they arise and where warranted work as an extension of the deal team
The role: As a key member of the Market Risk team, you will be assisting in the assessment, approval and reporting of all risks deriving from a diverse range of trading businesses in the Asian region. This sought after position offers an excellent opportunity to apply your risk skills and experience in a commercial role, working closely with Executives from all Asian trading divisions within the Bank and other risk management personnel.
Responsibilities: -You will review and analyse a diverse range of new business and product proposals and address any market risks, arising from the Asian based trading activities in equities; FX and commodities, -Accountable for providing advice and guidance regarding market risk exposures, -Drive the implementation of Group-wide projects and requirements for Market Risk, -Review and develop the banks overall market risk framework, -Develop and maintain strong working relationships with the Asian based trading businesses and other areas of the Risk Management Group.
Ideal Profile: -Tertiary qualified, -Significant interest in financial markets, -Strong analytical ability and decision making skills, -Proven ability to balance the need to switch between detailed day to day activity and problem-solving versus managing longer term activities and objectives, -Proven ability to sustain high levels of performance under pressure with short deadlines, -Superior interpersonal skills to build strong relationships within Risk Management and the Trading Groups. This will require interaction with personnel across all levels of experience and seniority. -Able to conceptualise, anticipate and articulate emerging issues. -Effective presentation skills including strong written communication. -Fluency in Cantonese an advantage, but not necessary.
All applications by mail
Apply by email. Please do not modify the subject of the mail or your application will not be considered.
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