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A leading global financial institution is seeking an Assistant Vice President Market Risk Management to join its Asia Market Risk Management Team in Hong Kong. This pivotal position places you at the centre of market risk monitoring, with a focus on rates and credit desks, structured financing trade risk analysis, illiquid asset risk measurements, issuer risk assessment, and portfolio stress analysis. You will be empowered to collaborate with both regional and global teams, ensuring alignment with global risk appetite while upholding high standards across regions. The organisation is committed to fostering a supportive environment where your expertise will contribute directly to the success of the team. With flexible working opportunities and access to ongoing training, this position provides a platform for professional growth and development within a knowledgeable network of industry experts. If you are looking for a role where your input shapes key decisions and your career can flourish in a collaborative setting, this opportunity offers the perfect blend of challenge, support, and advancement.
What you'll do:
As Assistant Vice President Market Risk Management based in Hong Kong, you will play an integral role in safeguarding the organisation’s interests by overseeing market risks associated with rates and credit products. Your day-to-day activities will involve close collaboration with sales and trading teams, preparing detailed dashboards that track performance indicators, reviewing mandates, assessing exposures, escalating critical issues when necessary, measuring illiquid asset valuations, conducting issuer assessments for structured transactions, performing stress tests on portfolios, designing insightful reporting tools, supporting both local initiatives and international projects, and working across functions to drive collective success. Your ability to communicate complex data clearly will be essential in ensuring that senior management remains informed about emerging risks. By leveraging your quantitative skills and product knowledge, you will help maintain rigorous standards while contributing positively to a culture of teamwork. Success in this role requires not only technical proficiency but also adaptability, excellent interpersonal skills, attention to detail, prioritisation abilities under pressure, fluency in English (and ideally another Asian language), as well as a collaborative mindset that thrives within multicultural environments.
What you bring:
Your proven background in market risk management equips you perfectly for the responsibilities of Assistant Vice President Market Risk Management. You bring not only technical expertise but also a collaborative spirit that enhances team performance. Your deep understanding of rates and credit products enables you to identify nuanced risks quickly. Experience with capital adequacy frameworks ensures you can contribute meaningfully to regulatory compliance efforts. Advanced quantitative abilities allow you to design effective stress tests tailored for structured trades. Familiarity with AI-driven reporting tools means you can streamline processes while maintaining accuracy. Your communication style fosters clarity even when discussing intricate data points. Adaptability allows you to juggle priorities seamlessly while remaining attentive to detail. Interpersonal strengths make it easy for colleagues across regions to rely on your insights during joint projects. Fluency in English—and ideally another Asian language—enables you to connect effectively within multicultural environments.
What sets this company apart:
This organisation stands out as one of the world’s most respected financial institutions due to its unwavering commitment to putting people first—both clients and employees alike. With an inclusive culture that values new ideas from diverse backgrounds, employees benefit from an environment where their voices are heard and their actions truly matter. The company invests heavily in talent development through ongoing training opportunities designed around individual growth needs. Flexible working arrangements further support work-life balance so employees can thrive both professionally and personally. As part of a knowledgeable network spanning regional hubs worldwide, staff enjoy unparalleled exposure to international best practices while contributing directly toward shared goals. The company’s dedication to long-term relationships extends beyond business results—it encompasses community service initiatives aimed at fostering sustainable growth for society at large. Employees are viewed as key assets fundamental to organisational success; hiring decisions are made solely on merit without regard for race, religion or gender—ensuring equal opportunity for all who join this forward-thinking team.
What's next:
If you are ready to take the next step in your career journey within market risk management at an internationally renowned financial institution—where your expertise will be valued every day—this is your chance!
Apply today by clicking on the link provided—your future starts here.
Mitsubishi UFJ Financial Group (MUFG) is an equal opportunity employer. We view our employees as our key assets as they are fundamental to our long-term growth and success. MUFG is committed to hiring based on merit and organsational fit, regardless of race, religion or gender.
Job details are sourced from the employer's original posting.
Open job postingAbout the company
MUFG Securities Asia Limited is a financial services company that provides a range of investment banking and securities services.