Senior Market Risk Manager, Equities & Derivatives

Nomura
Hong Kong, HK
On-site

Why this role

Pace
Steady
Collaboration
High
Autonomy
Medium
Decision Impact
Team
Role Level
Individual Contributor

Derived from job-description analysis by Serendipath's career intelligence engine.

What success looks like

  • successful coverage of equities business
  • effective interaction with various teams
Typical background
5+ years of experience in market risk

Transferable backgrounds

  • Coming from risk management roles in other financial institutions

Skills & requirements

Required

Market Risk ManagementDerivative ProductsAnalytic SkillsCommunication Skills

Preferred

Equities Business Knowledge

Stack & domain

CommunicationFinance

About the role

Original posting from Nomura

Nomura is seeking a Market Risk Manager in Hong Kong for the AeJ Equity Market Risk team. This position involves working closely with risk managers to cover the Equities business including Delta 1 and Derivatives. The ideal candidate will have at least 5 years of experience in market risk, strong analytic skills, and a good understanding of derivative products. Effective communication skills are essential for interacting with various teams. The role emphasizes a strong commitment to fostering a respectful and inclusive Risk Culture.

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Source: Nomura careers

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