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The Profile Group (HK) Ltd (a Wilson Company)
Hong Kong, HONG KONG
(on-site)
Posted
1 day ago
The Profile Group (HK) Ltd (a Wilson Company)
Hong Kong, HONG KONG
(on-site)
Job Function
Other
Market Risk Associate - Offshore role
The insights provided are generated by AI and may contain inaccuracies. Please independently verify any critical information before relying on it.
Market Risk Associate - Offshore role
The insights provided are generated by AI and may contain inaccuracies. Please independently verify any critical information before relying on it.
Description
Our client is a Sovereign Wealth fund, who is looking for a market risk associate to join their team. Market Risk is responsible for supporting the measurement, monitoring, and interpretation of market‑risk exposures across our Fund's multi‑asset portfolios. The position collaborates closely with investment teams, senior risk colleagues, and analytics support teams.Responsibilities Market Risk Measurement & Monitoring
- Conduct periodic market‑risk analytics using MSCI BarraOne / RiskManager.
- Analyse VaR, sensitivities (DV01, CS01, Greeks), volatility indicators, stress tests, and scenario results.
- Monitor risk‑factor exposures and identify emerging risks or concentrations.
- Provide clear interpretation of analytical outputs for investment discussions.
- Flag unusual patterns, vulnerabilities, and areas requiring senior‑level review.
- Run and refine market‑risk scenarios covering macro, geopolitical, and liquidity themes.
- Adapt MSCI scenarios and participate in developing Fund‑specific stress tests.
- Support reverse stress‑testing to highlight potential vulnerabilities.
- Summarise scenario outcomes and communicate key implications for portfolios.
- Work with analytics and data teams to maintain reliable inputs into MSCI BarraOne / RiskManager.
- Support improvements in model documentation, factor mappings, and data quality.
- Troubleshoot data or system issues in collaboration with quantitative and data-engineering teams.
- Contribute to reporting enhancements and dashboard optimisation.
- Partner with investment teams to explain risk dynamics and driver attribution.
- Ensure alignment between risk analytics, performance, valuation, and portfolio‑construction teams.
- Communicate market‑risk insights using clear and practical language.
- Contribute to risk governance materials and follow‑up actions where needed.
CANDIDATE QUALIFICATIONS AND REQUIREMENTS Qualifications & Experience
- Bachelor's degree required; Master's degree preferred (Finance, Economics, Engineering, Applied Mathematics, Statistics, or related analytical fields).
- 7-12 years of experience in market‑risk or investment‑risk roles within institutional environments.
- Familiarity with MSCI BarraOne / RiskManager is beneficial
Job ID: 83938949
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