Risk Manager
Job Responsibilities
- Conduct due diligence, review, and provide risk control opinions for various types of products, including but not limited to publicly traded stocks/bond funds, private equity funds, etc.
- Supervise the process of product listing and review documentation for various types of products.
- Perform risk control review of repositioning instructions for various funds/discretionary accounts.
- Continuously monitor the operations of products during the post-listing period and prepare relevant review reports.
- Assist in streamlining various risk management processes and develop corresponding risk management policies.
- Other ad hoc tasks assigned by supervisor.
Job Requirements
- Bachelor's degree or above in Finance, Economics, or a related field.
- Minimum 5 years of experience in the wealth management or asset management industry, with relevant experience in risk management.
- Proficiency in both Chinese and English reading, communication, and writing skills.
- Experience in independently assessing various types of fund products.
- Familiarity with regulatory requirements for licensed entities in risk management.
- Possession of certifications such as CFA, FRM would be a plus.
- Experience in ESG project would be advantageous.
- Candidate with less experience may be considered for a junior role.
2024年5月20日 16:51