Responsibilities :
• Identify, analyze, assess risk on securities broker/fund management businesses include margin financing, leverage products.
• Co-ordinate and maintain good team work with related Departments
Qualification :
• Bachelor’s Degree in statistic, economics, finance or related fields
• Experience in Risk Management at least 2 years
• Able to work independently and also as a team member
• High level of self motivation and well developed interpersonal skills
• Good command of English and computer skills |