A prominent financial institution in Hong Kong is seeking a Risk Management Specialist. Ideal candidates should possess a bachelor's degree in Economics, Finance, or Risk Management, with knowledge in equity, futures, and options markets. Responsibilities include managing risk exposure and conducting assessments. Strong analytical and communication skills in both Chinese and English are essential. Proficiency in Microsoft Office and familiarity with tools such as Python and Matlab will be advantageous. This role offers a dynamic work environment in a leading financial hub.
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Mid-Level
4/20/2026
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