Opportunity: You will join a team of risk & trading professionals, serving as the first line of defense against irregular market... movements. The team is responsible to ensure our users and company are well protected by identifying early signs of high risk...
risk. And AI risk. Responsibilities As a Manager within the Financial Services Risk Management (“FSRM”) Team your role... their potential. Financial Services Risk Management Background Within EY FSO Advisory Practice, the Financial Services Risk...
Risk Manager - Volatility & Options | Leading Hedge Fund | Asia Based Intellectual curiosity and a drive...-tier hedge fund to hire a Risk Manager who will oversee day-to-day risk management for volatility and options activities...
, the clients and the wider communities realize their potential. Financial Services Risk Management Background... Within EY FSO Advisory Practice, the Financial Services Risk Management (FSRM) group provides solutions that can help FSO...
is a plus. Minimum 2+ years of data analytics / quant research, quantitative risk management or software development experience in the...Company Introduction Polymer Capital Management is a market-neutral, multi-manager investment platform based...
-on experience designing or validating trading or risk models Proven Product Manager strength: Owning outcomes end-to-end, driving... trading venues, exchanges, or market infrastructure Strong background as a quant, trader, or financial modeler, with hands...
clients identify, measure, manage and monitor credit risk, climate risk. And AI risk. Responsibilities As a Manager..., the clients and the wider communities realize their potential. Financial Services Risk Management Background...
, the clients and the wider communities realize their potential. Financial Services Risk Management Background... Within EY FSO Advisory Practice, the Financial Services Risk Management (FSRM) group provides solutions that can help FSO...
Company Introduction Polymer Capital Management is a market-neutral, multi-manager investment platform based... and visualization, handling multiple projects that encompass risk analytics, monitoring, quantitative research, and trading...
A pioneering financial platform based in Hong Kong seeks a Product Manager with a strong quantitative focus.... You will own the product direction across trading and risk-related products, ensuring robust operational systems and managing risk...
A global FinTech leader is looking for a Manager/Senior Manager in Quantitative Risk Modelling & Development in Hong... Kong. This role involves developing data analytic tools for CFD products, collaborating with teams to manage market risk...
A leading financial services company in Hong Kong is seeking a Quantitative Product Manager to own and drive... quantitative direction across trading, margining, and risk-related products. The candidate must have prior experience in building...
We seek an experienced, independent Project Manager/Business Analyst to lead the expansion of our commodities trading..., ensuring smooth integration of trading and risk management systems tailored to the Chinese market. This strategic, hands...
Quant Portfolio Manager Hong Kong CW Talent Solutions is partnering with a leading $20bn+ hedge fund to hire high... of systematic trading strategies within a best‑in‑class hedge fund platform. You’ll manage capital with a disciplined risk framework...
Our client- a Leading Chinese Securities Firm is seeking an exceptional Quantitative Portfolio Manager... in quantitative research, systematic strategy development, and portfolio management. Quantitative Fund Portfolio Manager Key...
an experienced Portfolio Manager to lead and scale multi‑asset crypto options strategies . If you are passionate about digital assets... to optimize portfolio allocation and enhance risk‑adjusted returns. Build and refine a systematic research framework, including...
A global digital asset platform is seeking a highly analytical Product Manager for Trading in Hong Kong. This role... focuses on bridging complex mathematical models with scalable code, ensuring robust pricing and risk models, and collaborating...
and reconciliation procedures, monitor and elevate risk positions against internal benchmarks and develop new monitoring tools...
procedures, monitor and escalate risk positions against internal benchmarks and develop new monitoring tools accordingly Design...
and reconciliation procedures, monitor and elevate risk positions against internal benchmarks and develop new monitoring tools...