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Risk Manager

Full Time (Hong Kong or Shenzhen)

Key Responsibilities

  • Oversee and manage all aspects of risk for trading activities of the firm;

  • Control both electronic trading risk and market risk of strategies in real-time, and consequently escalate, report, and resolve any risk-related issues in a timely manner;

  • Respond effectively to any live or simulated risk limit violation;

  • Design risk controls and management systems;

  • Conduct ad-hoc risk analysis on a regular basis.

Profile and Skills

  • Bachelor's, Master's, or PhD degree in Finance, Economics, or a technical discipline, with a strong academic record from a prestigious institution;

  • Experience with algorithmic trading and low latency electronic risk controls;

  • Strong attention to detail;

  • High sense of responsibility and good professional ethics;

  • Clarity in verbal and written communications;

  • Extensive knowledge of financial instruments;

  • Understanding of regional exchange-specific rules and regulations;

  • (Optional) Experience in prestigious financial institutions;

  • (Optional) Track record of working with senior management, compliance, and technology teams;

  • (Optional) Proficiency in Python or databases.

How to Apply

Risk Manager: Join Us
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