Full-time | Risk Control | Malaysia | 3 to 5 years
Role & Responsibilities
- Monitoring client trade flow and execution
- Preparing daily client account analysis
- Preparing various trade reports and processing comprehensive data analysis
- Performing risk assessments and evaluation of our clients’ transactions and patterns
- Implementing risk management processes for the organization
- Performing risk assessments and evaluation of our company's exposure to the market
- Providing market colour and on-chain analysis to the team - Identifying potential market risks and opportunities with strategies to respond to them.
Liaising with external associates for problem-solving
Qualification & Requirement
Tertiary degree from Tier one universities- High achievement in a relevant academic field (e.g. Finance, economics, actuarial, mathematics)At least 3 years’ experience in the finance industry-previous experience in handling of trading analysis is advantageous.Bilingual- good command of both written and spoken English and Mandarin. We are looking for Mandarin-speaking candidates who will be serving Mandarin-speaking customers.Great communication and interpersonal skills, as well as stakeholder management.Be a fast learner, goal driven with strong analytical skills.Be independent, proactive and good at multitasking.#J-18808-Ljbffr