In this role, you will be driving the risk and P&L monitoring as well as operational controls for the trading desks. You will gain an in-depth understanding of the trade life cycle and the operational aspects of each step.
Responsibilities
Trading risk management: real-time monitoring of risk, P&L, funding usage
Validate risk and P&L bookings, perform reconciliations to ensure integrity of real-time trading performance
Risk set-up: work with traders on risk parameters set up, model validation, stress-testing
Implement controls over trading risk, bookings and funding operations, using scripts and creating dashboards; draft policies and procedures
Perform analytics on trading performance, P&L and risk attribution as well as management reports
Close interactions with traders, ops, finance and other stakeholders
Requirements
Degree or above in a quantitative discipline, with professional qualification such as CPA, CFA, FRM an added advantage
Minimum 3 years of experience in quantitative trading firm, investment bank or hedge fund, in functions such as Trading Support, Product Control, Market Risk Management, Risk Strategies
Hands-on experience developing risk management procedures and risk monitoring tools
Strong understanding of financial products, knowledge of crypto products is a plus
Proficient in Python and SQL
Strong analytical skills, detail-oriented
Hands-on, passionate about building, a product owner who can drive an initiative from start to finish