Hong Kong, Hong Kong SAR, Hong Kong

Option Risk Manager

 Job Description:

What to Expect:

  • Overseeing trading risks, including options greeks, net exposure, leverage, and margin ratios.
  • Vigilantly monitoring cash flow activities, such as settlements, payments, and various transfers.
  • Daily assessment of profit and loss to ensure that reported figures accurately reflect performance.

Required:

  • Strong knowledge of derivatives, with prior experience in options preferred.
  • Relevant experience in risk management
  • Prior experience working with front office and engineers and Quants.
  • Exceptional attention to detail and a robust sense of responsibility.