Responsibilities :
• Monitor company risk, margin financing, leverage product, proprietary portfolio and private fund.
• Daily monitor on company NCR.
• Prepare report and present to management.
• Any other duties as assigned.
Qualification :
• Bachelor in Business, Finance, Economics, Engineer, Statistics or related fields
• 2-5 year experience in Risk management or related fields
• Possess a strong foundation in finance
• Good knownledge in margin financing and leverage product
• Computer skills in Microsoft Office, VBA and Python is a plus
• English Skill, Interpersonal & Communication Skill, problem solving, analytic skill |