2023FRM备考资料
FRM思维导图
全新复习资料
FRM前导课程
历年习题汇总
市场风险管理(上海)
工作职责
1、Responsible for identifying, monitoring and managing market risks.
Make risk transparent through in depth and insightful position, PnL and risk analysis through daily risk exposure& PnL reporting.
2、Conduct Trading Book Parameter & Off Market Rate Monitoring
to ensure that market risk limits are followed by front office.
3、Perform daily marked-to-market valuation for GMIM products.
4、PerformBack to Back checking of all structured deposits/products
and financial products transacted by structuring team and sales team.
5、Reconcile trading book and banking book P/L and Net Open
Position between front office and back office.Assess market risk of new product/services and ensure that its impact on the Banks’ overall risk profile are adequately identified and can be well monitored. Give inputs from market risk perspective for new products to be launched during the new product program review process.
6、Maintain Market Risk policy, guidelines, limits and ensuring that
overall market risk management and control framework is in line with group and regulatory requirements.
7、Use and manage risk models through model maintenance and
daily reporting of Value-at-Risk and associated analysis.
8、Ensure that stress test of trading book positions is adequate on
a daily basis and continuously enhancing stress test quality.
9、Work with other departments (e.g. Operations, Finance) to ensure
that market risk exposures and risk performance indicators are properly and promptly monitored.
10、Ensure any anomalies are escalated to the appropriate level(s) of
authority for notation and management.
11、Prepare all market risk management related reports for
management review.
12、Continually streamline the working process and participate in
project UAT if needed.
任职资格
1、Bachelor Degree holder or above, major in Risk Management,
accounting or financial related.
2、More than 6 years' of relevant experience in market risk
management, product control, middle office and/or trading
experience.
3、Has rich experience of risk management and business-related knowledge. CFA or FRM certificate holder is preferable.
4、Fluent in both written and spoken English.
5、Good IT/PC skills, proficient in Excel and preferably in Databases
as well. Experience with Murex and strong VBA skill is preferred.
6、Ability to work well across teams/functions and under high
pressure.