Senior Capital Analyst

  • negotiable
  • Hong Kong
  • CDI, Plein-temps
  • 中国国际金融股份有限公司
  • 17 nov. 17 2017-11-17

Senior Capital Analyst of Wealth Management Department in Hong Kong

Job Description:

·           CICC Wealth Management(WM) provides our high net-worth clients with a broad spectrum of wealth management solutions including security trading, various investment and financing products. This position is within WM Capital group to support HK Wealth management team for capital lending related business including: margin financing, security lending, structure products and etc;

·           Review, analyze and approve daily trades and limits in margin financing and financing  projects; monitor the client risk and portfolio risk;

·           Working with firm risk and compliance team to improve the existing risk model and control procedure

·           Working closely with sales and project team member to explore and establish new financing product structures or new business

 

 

Job Requirement:

·           Bachelor Degree from a prestigious institution, Master level degree preferred

·           At least two year working experience in financial industry related to risk management, trading or research related area; Previous working experience in HK is preferred

·           Strong quantitative skill and capable to use Bloomberg to conduct data analysis

·           Good communication skills and self-driven 

Job Description:

·           CICC Wealth Management(WM) provides our high net-worth clients with a broad spectrum of wealth management solutions including security trading, various investment and financing products. This position is within WM Capital group to support HK Wealth management team for capital lending related business including: margin financing, security lending, structure products and etc;

·           Review, analyze and approve daily trades and limits in margin financing and financing  projects; monitor the client risk and portfolio risk;

·           Working with firm risk and compliance team to improve the existing risk model and control procedure

·           Working closely with sales and project team member to explore and establish new financing product structures or new business

 

 

Job Requirement:

·           Bachelor Degree from a prestigious institution, Master level degree preferred

·           At least two year working experience in financial industry related to risk management, trading or research related area; Previous working experience in HK is preferred

·           Strong quantitative skill and capable to use Bloomberg to conduct data analysis

·           Good communication skills and self-driven