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Manager, Structured Products Risk

moomoo·Hong Kong, Hong Kong, Hong Kong
full timeHong Kong, Hong Kong, Hong Kong

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AT A GLANCE

Manager levelFull Time

Preferred

  • 4+ years experience
  • People Leadership
Preferred qualifications are helpful, not automatic disqualifiers.
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Key Responsibilities • Structured Products & Complex Instruments • Perform independent risk analysis on structured products (both proprietary and distributed), including payoff decomposition, pricing validation, stress testing, scenario analysis, and embedded derivative assessme

About the role

Key Responsibilities • Structured Products & Complex Instruments • Perform independent risk analysis on structured products (both proprietary and distributed), including payoff decomposition, pricing validation, stress testing, scenario analysis, and embedded derivative assessment. • Assess underlying asset risk, barrier/knock-in/knock-out features, issuer credit risk, and liquidity risk of structured notes and derivative-linked products. • Evaluate product complexity classification and investor suitability from a risk perspective. • Monitor mark-to-market movements, greeks exposure, and potential loss scenarios on an ongoing basis. • Conduct pre-trade and post-trade risk assessment for proprietary structured product positions. Risk Rating Model & Approval Framework • Design, develop, and maintain risk rating models for investment products including structured products, funds, bonds, equities, derivatives, and alternative investments. • Build and manage the product risk rating approval workflow, including escalation criteria, approval authorities, and documentation standards. • Serve as independent risk assessor in the product approval process, providing risk opinions on new product onboarding and existing product reviews. Ongoing Product Risk Monitoring • Conduct periodic re-rating and review of onboarded products to reflect changes in market conditions, issuer creditworthiness, and regulatory requirements. • Monitor product issuers/providers' credit standing and financial health; coordinate with business teams on counterparty risk evaluation. • Track global market developments to identify emerging risks and provide early warning to management. Compliance, Reporting & Collaboration • Ensure product risk activities comply with regulatory requirements (e.g., HKMA, SFC guidelines) and align with the Bank's risk appetite framework. • Maintain and enhance internal risk policies and procedures; support audits and regulatory inspections. • Prepare regular and ad-hoc risk reports for Senior Management and Risk Committee. • Collaborate with business, compliance, legal, and operations on product risk matters. Requirements Requirements • Degree holder or above in Finance, Risk Management, Quantitative Finance, or related disciplines • Minimum 4 years of experience in product risk management, product control, or structured products risk in banking/financial institutions, preferably in private banking or wealth management • Strong knowledge of structured products (e.g., FCN, ELN, DCI, accumulator, decumulator, range accrual) and OTC derivatives is essential • Hands-on experience in building product risk rating models and managing approval workflows is highly preferred • Solid knowledge across multiple asset classes (funds, bonds, derivatives, etc.) and familiar with regulatory requirements • Strong analytical, communication, and problem-solving skills • Agile and adaptable to a fast-paced environment • Proficient in Excel/VBA; knowledge of Python is a plus • Good command of written and spoken English and Chinese (including Putonghua)
Posted8/19/2026
Statusactive
CommuteDistance only

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