Job Responsibility
- Monitor portfolio of client accounts and perform margin call/ forced liquidation;
- Analyse portfolio of client and prepare risk report;
- Maintain and improve margin ratio model for global securities;
Qualification
- Bachelor's Degree from an accredited university/college required.
- 2-3 years of professional work experience in financial services preferred.
- Experience in US market is an advantage
- Candidates should be highly proficient in Excel (including analysis/control of large data sets), PowerPoint, and Word.
- Fluent in English and Mandarin