Job Description:

  • Perform daily product control, including Treasury transaction verification, trade cancellation monitoring, data reconciliations, off market rate monitoring, P&L production and analysis, MTM valuation of financial instruments, etc.
  • Perform daily market risk limit monitoring and reporting to various stakeholders, breach analysis and escalation and maintenance of Excel template.
  • Perform periodic maintenance and update of traders / counterparties limits, user access rights, folder control in the trading systems.
  • Review and update product control related policy and procedure on a regular basis.
  • Assessment of new/existing financial services and products.
  • Perform ad hoc projects as assigned by Team Leader or Department Manager from time to time.

Job Requirements:

  • Recognized Bachelor Degree or above, preferably in Finance, Accounting or related discipline.
  • At least 2 years of relevant experience in similar capacity. Candidates with experience in risk management or product control function will be advantageous.
  • Strong knowledge in Treasury products and derivatives in terms of valuation as well as be familiar with the market convention for such products (Foreign Exchange; Fixed Income).
  • Good Financial Modelling skills and proficient in MS Office. Should be able to read and write VBA code.
  • Experience with Bloomberg Terminal; Reuters Eikon will be a plus point.
  • Professional certification such as FRM, PRM, CFA will be advantageous.
  • Relevant experience in risk management or product control function will be preferable.
  • Good interpersonal skills to handle stakeholders across multiple departments.
  • Ability to work meticulously under pressure and tight deadlines.

Salary: $7,000 Per Month