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Valuation Risk Controller - Investment Bank

Michael Page 🇭🇰 Hong Kong, Hong Kong SAR Posted 18 days ago
Full-timeFinance
• Investment Bank • Excellent exposure About Our Client A Global Investment Bank is hiring a Valuation Risk Controller to join their team. Candidates with market risk, fixed income products, or product control knowledge are welcome to apply. Job Description • Perform monthly Independent Price Verification (IPV) for credit products, including bonds, loans, CDS, CLNs, and other illiquid instruments. • Liaise with traders to discuss valuation results and methodologies. • Review valuation and risk models in partnership with model development teams. • Identify and implement process improvements and automation opportunities. • Support regulatory reporting and related initiatives. • Monitor market developments and assess their impact on portfolios and the firm. The Successful Applicant • Bachelor's degree in Finance, Economics, Mathematics, Business, or a related field. • 2-3 years of relevant experience. • Good understanding of financial markets and products, particularly credit products. • Strong communication and stakeholder management skills. • Strong analytical and quantitative skills, with good Excel proficiency. • Experience in credit valuation, market risk, fixed income products, or product control is an advantage. What's on Offer • Investment Bank

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