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To promote SSE and attract listings from target overseas markets.
3 Advanced degrees in related fields; at least 3 years' work experiences in major overseas financial markets; good understanding of the markets, regulations and cultures in Southeast Asia and Eastern Europe; command of the local languages; experiences in market or client development or private equity investment.
2 Products Development
To research on and design cash and derivative products in light of market demands.
2 Advanced degrees in related fields; at least 3 years' work experiences in major overseas financial markets; experiences in financial product design and development; at least 3 years' trading experiences with cash and derivative products, in particular fixed income, options and non-standard contracts.
3 Risk Management
To identify, assess, monitor and respond to systematic risks in the securities market and risks related to the exchange operation.
2 Advanced degrees in related fields; at least 3 years' work experiences in major overseas financial markets; experiences in financial risk control; at least 3 years' trading experiences with cash and derivative products.
4 Research on International Capital Markets
To follow developments in int'l capital markets and the exchange industry and give support to decision making.
2 Advanced degrees in related fields; at least 3 years' work experiences in major overseas financial markets; strong abilities in collecting information and research; work experiences in large finanical institutions or int'l financial organizations,at least 3 years' trading experiences with cash and derivative products.
5 Legal Research on International Capital Markets
To follow developments in the laws and regulations governing int'l capital markets and formulate international business rules of the SSE.
1 Advanced degrees in related fields; at least 3 years' work experiences in major overseas financial markets; familiar with overseas and Chinese laws and regulations on capital markets.
Apart from applications for one of our specified positions, we are happy to receive the resume from any well-rounded candidate in possession of an advanced degree in a related field, at least 3 years' work experiences with large financial institutions or int'l financial organizations in major overseas markets and outstanding achievements in his/her own field or other specialties.
The position is responsible for researching gold industries in China and world and gold spot and futures markets. Also collect gold spot and futures markets operations and important dynamic information in China and world.
2 Postgraduate of technology, engineering and economics or related; profound understand of capital market; analysis abilities of macroeconomic and industries; above two years' work experience of financial industry research or two years' work experience; familiar with characteristic of gold products, manufacturing technique, product quality control, storage and delivery; abilities of word processing and verbal exposition.
1 Position: Market Research & Development Title: Senior Business Manager
In charge of keeping track of the latest situation and future development of the domestic and international gold market. In charge of investigating, analyzing and doing research on the aspects and topics focused by SGE, its members and the market. In charge of doing research, designing and developing the new trading products, the developing strategy of SGE and the relative issues.
Several If you are within the age of 25 to 35, have good appearance and healthy body, excellent communication and language ability, high professional morality, no fault records, please do not hesitate to contact us. If you have the experience of doing the futures, FX and securities trading, or the overseas working experience, you’ll be considered by SGE at the first priority.
2 Position: Trading System Development & Operation Maintenance Title: Computer Engineer
In charge of the comprehensive management and maintenance of SGE’s trading system and new work communication equipment. In charge of carrying out the programme of the developing, upgrading and maintenance of SGE’s trading system. In charge of the smooth operation of SGE’s trading system and new work communication equipment.
Several If you are within the age of 25 to 35, have good appearance and healthy body, excellent communication and language ability, high professional morality, no fault records, please do not hesitate to contact us. If you have the experience of doing the futures, FX and securities trading, or the overseas working experience, you’ll be considered by SGE at the first priority.
Shanghai Gold Exchange
上海市赴英美招聘高层次金融人才工作团
[ POSITIONS ]
Address No.99 Middle He Nan Road,
Shanghai, China, 200001
Web www.sge.com.cn Contact Yang MingEmail [email protected] Tel 8621-33662061
1 Research new trading technologies, i.e. program trading, arbitrate trading, etc.
2 Design the exchange business with regards to new trading technology
1 1 Familiar with new trading technologies, i.e. program trading, arbitrate trading, etc.
2 Good command of financial engeneering and mathematics 3 Excellent leadership and communication skills4 Minimum of 3-5 years' experience in trading division of
internationally-known investment banks
2 New Product Design and Operation
1 Design and operate both exchange-traded and OTC financial derivatives
2 Identify related strategy for the design and operation of new products
1 1 Familiar with overseas exchange-traded and the OTC products2 Excellent creativity3 Strong communication skills4 Minimum of 3-5 years' experience in overseas financial
institutions, i.e. exchanges, banks or investment banks
3 Risk Control 1 Evaluate trading risks and analyze illegal trading
2 Investigate illegal trading
1 1 Familiar with overseas risk management2 Rich experience with risk evaluation and regulation3 Minimum of 3-5 years' experience in the risk-control division of
overseas exchanges or investment banks
4 Settlement and Risk Management
1 Market risk management
2 Develop and maintain the tools for risk management
3 Apply margins systems such as SPAN and STANS to manage the exchange risks
1 1 Familiar with overseas risk management and all kinds of risk management tools
2 Familiar with margins systems such as SPAN and STANS3 Good command of financial engineering and mathematics 4 Minimum of 3 years' experience in the risk management
division of overseas exchanges
5 IT Project Management
1 Design the general framework for IT project development
2 Manage and control the project process
1 1 Experience with IT project development and management,familiar with project management process
2 Excellent leadership3 Strong communication skills4 Minimum of 5 years experience with IT project management in
overseas financial institution
上海市赴英美招聘高层次金融人才工作团
[ POSITIONS ]
Address 6thFloor,POSPlaza,No.1600Century
Avenue, Shanghai ,China, 200122
Web www.cffex.com.cn Contact Huang Yong/Lin Wenhui
6 Business Analyst 1 Collect, arrange and analyze the demand for new products
2 Control the change in demand,analyze and track the range and impact of demand shift
3 Do demand verification and acceptance test according to the demand analysis document
1 1 Good command of software engineering theory ,familiar with demand analysis
2 Familiar with CMMI software demand engeneering and software testing process
3 Minimum of 3 years' experience with software demand analysis, development and design in overseas exchange or financial institution
7 Systems Architect 1 Responsible for constructing and designing the exchange's systematic framework
2 Conduct code maintenance to the application system,and modify the exposed flaw
3 Participate in framework design, analysis and judgement of each project
4 Institute various technical specification
1 1 Good command of software engineering theories and methods,and experience with system framework design and development
2 Minimum of 3 years'experience with key system architecture design and development in overseas financial or telecom industries
8 Financial Futures Theory Research
1 Frontier research of overseas financial futures theories
2 Track the development of overseas financial futures theories
1 1 Familiar with the current trends of the development of financial futures theories
2 Rich research results; Having papers published in well-knowned journals
3 Minimum of 3 years' research experience in overseas exchanges or research institutions, i.e. universities or colleges
9 Product development
1 Develop and design new products
2 Construct research and development systems for financial derivatives
1 1 Rich experience with development and design of financial derivatives
2 Excellent research skills and creativity3 Minimum of 3 years' experience with product development in
overseas exchanges or financial institutions
10 Strategy Management
1 Analyze the new trend in the industry
2 Make strategic research for future development of the exchange
1 1 Rich experience with financial strategic development research2 Exellent macro strategic vision and report writing skills3 Minimum of 3 years' experience in strategic management or
consultancy in overseas exchanges or advisory service
1 Maintain and enhance relationship with US partners to enlarge CUP acceptance coverage.
2 Conducting market researching and strategy planning.
3 Plan and carry out direct marketing activities to promote CUP card usage.
2 Bachelor degree or above Major in Finance or experience in bankcard industryProficient/Excellent spoken and written skill in EnglishOversea Chinese with working permit in United States
2 European market representative(Location:Italy, France, Germany)
1 Maintain and enhance relationship with local business partners(Italy、France、and Germany respectively) to enlarge CUP acceptance business coverage.
2 Conducting market researching and strategy planning.
3 Plan and carry out direct marketing activities to promote CUP card usage.
3 Bachelor degree or aboveMajor in Finance or experience in bankcard industryProficient/Excellent spoken and written skill in Italy/French/Germany respective)
1 Maintain and enhance relationship with local business partners to enlarge CUP acceptance business coverage.
2 Conducting market researching and strategy planning.
3 Plan and carry out direct marketing activities to promote CUP card usage.
2 Bachelor degree or aboveBankcard industry experienceProficient/Excellent spoken and written skill in English
4 Taiwan market representative(Location:Taiwan)
1 Setting up Taiwan representative office. 2 Maintain and enhance relationship with local business
partners to enlarge CUP acceptance business coverage.
3 Conducting market researching and strategy planning.
4 Plan and carry out direct marketing activities to promote CUP card usage.
1 Bachelor degree or aboveMajor in finance or experience in bankcard industry, familiar with Taiwan bankcard industry Proficient/Excellent spoken and written skill in English
上海市赴英美招聘高层次金融人才工作团
[ POSITIONS ]
Address CUP Tower, 36 Hanxiao Rd.,pudong,shanghai,
1 Oversea the overall cooperation with global financial institutions: participate in the negotiation on the cooperation agreements, Plan, develop and implement cooperation strategies.
2 Projects control. 3 Maintain and enhance relationship with global
financial institutions. 4 New business development.
1 Bachelor degree or aboveProficient/Excellent spoken and written skill in English3-4 years working experience ( Major in finance or experience in bankcard industry a plus ) Strong communication skills, good team player
6 Asian Pacific market development (Location:Shanghai)
1 Conducting market researching and strategy planning.
2 Business development for targeting market. 3 Plan and carry out direct marketing activities to
promote CUP card usage.
1 Bachelor degree or aboveProficient/Excellent spoken and written skill in English3-5 years working experience ( Major in finance or experience in bankcard industry a plus ) Strong communication skills, good team player
7 Africa & South America market development (Location:Shanghai)
1 Conducting market research and strategy planning in Africa and South America region.
2 Business development on target markets. 3 Plan and carry out direct marketing activities to
promote CUP card usage.
1 Bachelor degree or aboveProficient/Excellent spoken and written skill in English3-5 years working experience ( Major in finance or experience in bankcard industry a plus ) Strong communication skills
8 Oversea risk management(Location:Shanghai)
1 Conduct daily contact with risk management departments of overseas business institutions.
2 Coordinate on providing business institutions with various CUP card risk management support service.
3 Responsible for risk assessment on overseas network participants.
4 Investigate and handle overseas major CUP cards risk events and cases.
5 Collect and arrange various risk and development trend information on overseas regional bankcard market.
1 Bachelor degree or aboveMajor in Economics, Finance, Laws, Maths, Statistics, Computer, etc. Over 3 years working experience in creidt card fraud risk management Good logical analysis and data analysis capability with proficient skills in mathematical statistics, data analysis and data mining tools Proficient/Excellent spoken and written skill in English, as well as good Chinese writing capability Strong communication and coordination skills and strong team spiritPreferred with working experience in overseas bankcard risk mangement and FRM certificate
Dealing with the designation and calculation of financial derivative products such as interest rate, exchange rate, etc. Responsible for building risk controlling model of financial derivative products, parameters deciding and running monitoring; participate in the designation of hedge trading process of financial derivative products.
1 1 5 years experience in designing and model building of financial derivative products and funding structured products in national financial institution, be familiar with the hedging process;
2 have good quantity analyzing ability, basic knowledge of model building and experience. Primary for candidates who have passed CFA II;
3 have good sense of risk controlling and team work spirit;4 have good personalities, be familiar and identify with
Chinese culture;5 good ability of communicating in both Chinese and
English.
2 Senior Manager of marketing risk
Identify measure and monitor different kinds of marketing risks; identify pricing model of financial derivative products, design different kinds of measurements of marketing risks, develop pricing tool for fix revenue products; do suitability test for parameters of internal department models.
1 1 5 years experience in dealing with marketing risks in national commercial banks;
2 have good quantity analyzing ability, basic knowledge of model building and experience. Primary for candidates who have passed FRM;
3 have good sense of risk controlling and team work spirit;4 have good personalities, be familiar and identify with
Chinese culture;5 good ability of communicating in both Chinese and
English.
3 Senior manager of risk quantification and model building
Developing different kinds of risk combination models and risk measuring tools, maintain, update risk combination models; follow and study The New Basel Capital Accord, new development of internal and external risking managing tools.
1 1 5 years experience in risk quantification and model designing in national commercial banks;
2 have good quantity analyzing ability, basic knowledge of model building and experience. Primary for candidates who have passed FRM;
3 have good sense of risk controlling and team work spirit;4 have good personalities, be familiar and identify with
Chinese culture;5 good ability of communicating in both Chinese and
English.
4 senior consultant of private bank
Provid combining service to well-heeled clients, including commercial bank, wealth management, wealth inheriting plan, crediting service, investment bank and family financing. Provide financial management service under efficient risk controlling.
1 1 5 years experience of providing service and management in private banking area;
2 good acknowledge and experience of basic national financial service, primary for candidates who have passed CFP;
3 have good sense of risk controlling and team work spirit;4 have good personalities, be familiar and identify with
Chinese culture;5 good ability of communicating in both Chinese and
English.
Shanghai Pudong Development Bank
上海市赴英美招聘高层次金融人才工作团
[ POSITIONS ]
Address No.12, Zhongshan Dong Yi Road, Shanghai, Web www.spdb.com.cn Contact Zhang Biwu
1 Assisting presidents to form the strategic plan of the bank's financial digitalization to make sure that the IT system can support the business demands of the bank.
2 Organizing, coordination, guiding and pushing forward the programming and realization of the bank's IT platform under the authorization of the presidents. Giving opinions to the problems existing in the platform and supervising the improvement process.
3 Carrying out researches and investigations under due responsibility and reporting to presidents about the problems in IT and product development to support their decision-make.
1 35-45 years old; Master Degree or above of Computer Science, Communication or other related majors;8 years working experience in IT development and management; Management experience of large-scale IT projects at headquarters or regional centers of international financial institutions
2 ChiefRisk ManagementOfficer
1 Asisiting presidents to strengthen risk management, organizing and pushing forward the construction of all-round risk management system.
2 Organizing, coordination, guiding and pushing forward relevant work under the authorization of the presidents.
3 Carrying out research and investigation under due responsibility and writing comprehensive risk management reports to support presidents to make decisions.
1 40-50years old;Master Degree or above of Finance,Accounting,Administration,Law or other related majors;Over 10 years working experience in financial industry ;8 years working experience in risk management at headquarters or regional centers of international financial institutions.
According to the overall development of the banking strategy, to formulate and revise the bank-wide risk management strategy; to structure a comprehensive risk management system and establish an efficient risk control mechanism; to research and analyze risk management strategies, tactics, operation systems and technical means of advanced enterprise, and to provide constructive views and suggestions on continuously improving our risk management capability.
1 ≤45 years of age, Postgraduate education, Financial, economic, accounting and other professional education background; more than 15 years financial industry experience, more than 10 years risk management experience; have a good Chinese and English listening, speaking, reading and writing ability; a strong sense of responsibility and the spirit of good teamwork and good health; professional certificates(ACCA, CFA, CFP, FRM, etc.)are given priority.
2 Strategy researcher (director level)
To investigate and plan the medium and long-term bank development and formulate and revise development strategy; to collect and in-depth study and analyze the information of macro-economic policies and regulations and put forward constructive opinions and suggestions; to collect information of the management, operation, development planning and corporate culture, and other characteristics of advanced enterprises and the main rivals and give the reference to management decision-making.
1 ≤45 years of age, Postgraduate education, Financial, economic, accounting and other professional education background; more than 15 years financial industry experience, more than 10 years strategic research experience; have a good Chinese and English listening, speaking, reading and writing ability; a strong sense of responsibility and the spirit of good teamwork and good health; professional certificates(ACCA, CFA, CFP, FRM, etc.)are given priority.
1 Seek for investment banking targeted clients and carry out marketing and product designs, products include syndication loans, trustee financing, exporting financing and external financing,etc, and organize to achieve investment banking plans.
2 Efficiently communicate with client managers of sub-branches; develop and apprehend client’s needs, capture opportunities to cooperate with clients, undertake project design, and product development and system sales, push forward development of investment banking.
3 Consistent contact with financial entity including banks, treasury companies, brokerage firms, trustee companies and financing firms, establish adaptive marketing channels, accomplish development of product and cross sales.
5 1 5 years and above experience in financing industry, understand economic laws and regulations and grasp knowledge of financing management, familiar with various corporate credit operation process
2 Fully alert to risk and solid financial analyzing skills, promptly respond to market development and capable of developing clients and new business.
3 strong wording ability, capable of grasping new knowledge and products in a competitive pace.
4 Bachelor and above degree, financing, treasury and management so forth related subjects preferred.
2 Product manager of FI
1 To participate in the marketing of the liabilities and assets business, expand the capital sources of financial institutions.
2 To participate in the Bill Rediscount, Transfer Discount and Repurchasement Agreement business.
3 To participate in the business of credit assets transfer and Repurchasement business.
4 To participate in the marketing business of capital offered ,borrowing and concerned assets business among financial institutions.
5 1.5 years and above experience in financial system.
2 The inter-bank business, with sharp analytic mind, marketing sense, and good skills of the interpersonal communication , well capacity of organization and cooperation.
3 University degree or above, majored in finance , economy, administration and concerned majors will be well considered.
3 Risk checkup manager
1 Jurisdiction-wide checkup of the credit business.2 Examining and approving every kind of credit
business in the Jurisdiction-wide.3 For the drafting of documents related to credit
business.4、Tracking industry dynamics, analyzing industry
status quo, and making industry report of credit business.
5 Directing and Supporting business department to do credit-related business.
6 Designing regulation and system of credit-related, and strengthening risk management.
7 Do well in statistical and analytical work of credit data.
5 1 8 years and above banking experience, 5 years and above of banking credit work experience.
2 strong ability of implementation, management, planning, resolving, and analyzing problems.
3 Understanding economic laws and commercial bank’s financial business management knowledge, being familiar with the operational process of every kind of credit business.
4 Bachelor degree and above, finance and economics, and management is preferable.
1 Chief Economist lead macroeconomic and sectors research, publish results to the public, and establish research service brand to institutional clients.
1 5 years plus experience in international investment banks,in-depth knowledge of Asia-Pacific market, and well-known in research field.
2 Sales Director of Institutions
lead to establishing business procedures and operation systems towards global institutional clients,stimulate research through effective sales, and foster core competitive capability in high-level clients service.
2 10 years plus experience in financial institutions,5 years plus leadership experience,expertise in clients development and maintenance,have rich clients resources,and lead effective services to institutions.
3 Fund Manager According to Investment Committee, make and implement investment strategy. Responsible for investment result and in line with risk control.
2 10 years plus experience of investment, in-depth knowledge of portfolio investment, financial and risk management, CFA preferred.
4 Manager Director of PE
Lead the team to develop inside and outside projects by international and specialization mode, make equity investment and help companies listing.
1 10 years plus experience of firm management or 5 years plus experience of PE investment, rich PE project resource, in-depth knowledge of financial, accounting, company management and law.
5 Risk Management Expert
provide guidance on establishment of internal risk management system,lead to establish risk control mechanism at different levels,and organize pre-,intra- and post-event supervision and estimation.
2 5 years plus experience in financial institutions,3 years plus risk management experience in internaitional investment banks,and in-depth knowledge of auditing,accounting and derivatives.
6 Compliance Management Expert
lead to establishing overall and sound compliance management system,identify, evaluate, and manage compliance risks in various ways, and foster internal compliance concepts and culture.
2 5 years plus experience in financial institutions,3 years plus compliance management experience in internaitional investment banks,in-depth knowledge of laws,brokerage business and other investment bank business.
7 Retail Brokerage Sales Expert
responsible for marketing development and sales of retail clients, make marketing sales strategy, train and assess sales implementation in branches, and foster core competitive capability in retail brokerage business.
2 10 years plus retail business experience in financial institutions,5 years plus experience in retail clients sales management in investment banks,and expertise in clients development and maintenance and strategic planning.
8 Expert of futures and derivatives product
Understand domestic and overseas advanced derivatives products development and trend, organize and make research of derivatives products design, pricing , market making, testing and prepare feasible product.
2 10 years plus experience of financial business and 5 years plus experience of future and derivatives product development, in-depth knowledge of quantity analyst, accounting and risk management.
1 Implement marketing , independent deal flow processing, public relationship maintenance with clients and prospectus;
2 Do research on financial trend and products, Provide strategic recommendation on investment banking business to the executives;
3 Organize and Implement placement, Provide appropriate and innovative financing proposals for clients;
4 Supervise project team and provide solution for major technical issues.
1-3v 1 Education: master or higher degree in finance related disciplines;
2 Working experience: Minimum of 3 Years working experience in well-known enterprises, securities firms or other financial institutions; persons with charge of financing projects are preferable;
3 Additional skills: Good communication and marketing skills; Strong profession commitment and dedication.
2 Senior positions, International Business Department
1 Participate in the establishment of development plans, regulatory policies and operational processes of the company's international businesses;
2 Put forward and carry out the financial consultant business plan targeting overseas institutional clients engaged in QFII, B-shares, etc.;
3 Set up platforms, channels and networks for the company to develop businesses in overseas markets; Communicate with overseas market administrations; Develop long-term strategic partnerships; Develop international cooperation programs and exploit and integrate resources in both domestic and foreign markets.
1-2 1 Education: master or higher degree in finance related disciplines;
2 Working experience: Minimum of 3 years' relevant working experience;
3 Additional skills: Rich knowledge of and experience in international businesses, and strong ability to manage and organize teamwork.
3 Analyst - Strategic Asset Allocation
The successful candidate will be in charge of research in strategic asset allocation and making investment strategies for asset allocation.
1 1 Education: master or higher degree in finance related disciplines;
2 Working experience: at least 5 years of working experience in securities industry;
3 Additional skills: familiar with stock and bond markets; strong analytical skills in investment; good communication skills; a team player who demonstrates outstanding ability of learning.
The successful candidates will be working on sell-side research: doing in-depth research in and keeping track of the industry and key companies; making direct communications and exchanges with clients(buy-side institutions)in various forms; supporting and servicing business divisions within the company.
3 1 Education: master or higher degree in finance related disciplines;
2 Working experience: at least 3 years of working experience in sell-side institutions as an analyst of equity research;
3 Additional skills: familiar with accounting and valuation; CFA will be preferable.
5 Analyst - Derivatives & Structured-products
The successful candidate will be responsible for researching quant strategy, international and domestic futures, warrants, options and other derivative products, and analyzing their investment value and related arbitrage and hedging strategies; Capable of transforming the research results into related products and providing clients with structured-products designing services.
1 1 Education: master or higher degree in finance related disciplines;
2 Working experience: at least 5 years of working experience in world-famous multinational banks or investment banks;
3 Additional skills: fluent in Chinese (verbal and written) and capable of writing reports in Chinese; CFA or CQF will be preferable.
6 Director of QDII, Client Asset Management Department
1 Build and perfect multi-strategy investment framework and system on global seurities markets;
2 Develop and execute multi-strategy investment plans;
3 Supervise daily investment activities of QDII investment managers;
4 Coordinate all issues related to QDII business including front desk, middle office and back office;
5 Responsible for QDII investor relations.
1 1 Education: master or higher degree in finance related disciplines;
2 Working experience: at least 5 years buy side multi-strategy investment experience;
3 Additional skills: Strong research and analytical skills, thorough knowledge of international capital markets, knowledgeable in various types and styles of asset managers, hands-on investment experience;CFA will be preferable.
7 Senior QDII Asset Allocation Manager, Client Asset Management Department
1 Build the asset allocation framework and system;2 Develop and execute asset allocation plans;3 Other tasks related to asset allocation assigned by
Director of QDII.
1 1 Education: master or higher degree in finance related disciplines;
2 Working experience: at least 5 years research experience in asset allocation strategy;
3 Additional skills: Thorough knowledge of asset allocation theory and strategy, hands-on asset allocation experience;CFA will be preferable.
[ POSITIONS ]
No. Job Job DescriptionJobs
AvailableQualifi cations
8 QDII Trader, Client Asset Management Department
1 Develop and execute cash management plans;2 Conduct daily cash management and trading
activities;3 Other tasks related to trading assigned by Director
of QDII.
1 1 Education: master or higher degree in finance related disciplines;
2 Working experience: at least 2 years experience in trading and cash management;
3 Additional skills: Experience in cash management and hedging in FX, interest rate, etc. Skillful in trading instruments available on markets;CFA will be preferable.
9 Director of Product Design, Client Asset Management Department
1 Design customized investment and hedging strategies and financial products for institutional and high-end clients;
2 Track latest development on domestic and overseas investment products, propose design ideas, build and perfect internal product data base;
3 Survey customer's demand, conduct market analysis, develop and launch new products;
4 Complete application documents for new business qualifications or new products, make sure the application being approved ASAP;
5 Assist marketing department to package, market and promote the newly launched product.
1 1 Education: master or higher degree in finance related disciplines;
2 Working experience: at least 5 years experience in buy side or sell side investment product design;
3 Additional skills: Familiar with foreign investment product design and operations, knowledgeable of all aspects of product design;CFA will be preferable.
10 Director of Fixed Income, Client Asset Management Department
1 Build fixed income investment strategy and research infrastructure, supervise the implementation of investment strategy and plans;
2 Oversee fixed income investment decision committee, design investment strategies and relevant investment plans;
3 Coordinate all issues related to fixed income investment including front desk, middle office and back office;
4 Organize group study on fixed income investment;5 Communicate with investors on fixed income
investments.
1 1 Education: master or higher degree in finance related disciplines;
2 Working experience: at least 5 years experience in buy side fixed income investment;
3 Additional skills: Hands-on experience in international fixed income OTC and exchange markets, familiar with market practice both in China and overseas;CFA will be preferable.
[ POSITIONS ]
No. Job Job DescriptionJobs
AvailableQualifi cations
11 Director of Risk Management, Client Asset Management Division
1 Develop and implement risk management procedures; tracking and reporting of risk associated fund investment and operations;
2 Coordinate with the company's risk management unit in monitoring risk associated with asset management business;
3 Regularly assessment and reporting of risk associated with various investments and portfolio performance.
1 1 Education: master or higher degree in finance related disciplines;
2 Working experience: 5 years of risk management on buy side;
3 Additional skills: experienced with various risk management tools; strong knowledge of risk characteristics of various securities;CFA will be preferable.
12 Director of Financial Engineering, Client Asset Management Division
1 Fixed-income, equity and derivative research using quantitative methods; develop and improve analytical framework and tools.
2 Develop quantitative investment strategy based on factors such as macro economy, equity valuation, technical characteristics, etc.
3 Investment performance analysis and reporting.
1 1 Education: master or higher degree in finance,mathematics or related disciplines;
2 Working experience:5 years' experience in financial engineering;
3 Additional skills:strong computer programming and financial engineering modeling skills;CFA will be preferable.
13 Director of Marketing, Client Asset Management Division
1 Build and maintain relationships with institutional and high net-worth clients; implement customer development and marketing programs;
2 Develop, expand and maintain fund sales channels;3 Research client needs; provide recommendations
to product development team on market demand;4 Promote fund products and provide consultation to
clients.
1 1 Education: master or higher degree in finance related disciplines;
2 Working experience:5 years sales and marketing experience in the fund industry;
3 Additional skills: strong interpersonal and communication skills,understanding of clients' diverse demand;CFA will be preferable.
[ POSITIONS ] [ POSITIONS ] [ POSITIONS ]
No. Job Job DescriptionJobs
AvailableQualifi cations
14 Director of Operations, Client Asset Management Division
1 Improve existing operational procedures; responsible for client account management and NAV calculation;
2 Manage and maintain operation related information system;
3 Fund operation related data collection and analysis; reporting to relevant internal units and regulatory authorities;
4 Assist in preparing accounting statements for asset management business;
5 Other administrative tasks as assigned.
1 1 Education: master or higher degree in finance related disciplines;
2 Working experience:5 years of fund operation experience, preferably on buy side;
3 Additional skills:comprehensive knowledge of international bookkeeping, custody and settlement;CFA will be preferable.
15 IT Chief Architect 1 In charge of IT Planning according to the development strategy of the company;
2 Design IT architecture of the company and supervise the implementation;
3 Check architecture rationality of IT projects;4 Inspect IT architecture periodically to find the
unstable factors;5 other possible tasks required.
1 Education:Master's degree or equivalent in Finance, Management, Computer Science or related discipline;
2 Working experience:at least 3 years related professional experience;
3 Additional skills:Excellent knowledge of computer theory and professional technology, architect experience in IT department of famous security company.
16 IT Chief Security Officer
1 Design the information security management system to satisfy all the law、supervision and management disciplines;
2 Compose rules, criterion and standards of the information security;
3 In charge of the security third-party evaluating and auditing and compose the security related report periodically;
4 Inspect the information security periodically to find the risks;
5 In charge of solving the break-out security issues;6 Check security rationality of IT projects;7 other possible tasks required.
1 Education:Master's degree or equivalent in Finance, Management, Computer Science or related discipline;
2 Working experience:at least 3 years related professional experience;
3 Additional skills:Excellent knowledge of computer theory and professional technology, Information security management experience in IT department of famous security company.
No. Job Job DescriptionJobs
AvailableQualifi cations
17 Model Developer & Validation
Develop and validate trading and pricing models. 2 1 Education:Education: master or higher degree in Computer Science related disciplines;
2 Working experience:Minimum of 3 years in financial industry;
3 Additional skills:Strong mathematical background and analytical skills. Experience with C++ and object oriented development. With financial instruments pricing and commonly used derivative models.
18 Senior Structurer and structurer- Equity Hybrid Solutions
Provide structured products and multi asset classes investment Solutions to individual and institutional investors.
1-2 1 Education:Master's degree or above in Finance, Mathematics,Statistics or related discipline;
2 Working experience:Minimum of 3 years experience in a quant and/or derivatives structuring environment which has included client facing element;
3 Additional skills:Able to investigate specific regulations and appreciate accounting rules, etc. Exposure to interest-rate, credit and equity products. With superb presentation skills .Highly creative thinker and generator of ideas.
19 Derivatives Trader Trading of various asset classes products(Subject to the licenses).
1-2 1 Education:Bachelors or Master's degree in Finance, Mathematics, Statistics or related discipline.
2 Working experience:4 to 8 years trading experience in IR, FX and equity derivative products.
3 Additional skills: Excellent numeric and analytical skills.The ability to interpret data, solve problems and make decisions under pressure. Strong knowledge of Asian markets are also essential.
1 Plan out medium to long term IT development; 2 Make annual IT plan and budget;3 Plan out IT system construction;4 Evaluate & control IT risks;5 Organize and coordinate IT system construction;6 Complie IT administration regulations and standards for IT system
construction.
1 Education: DoctorExpertise: Majoring in Computer TechnologyExperience: At least 8 years relative experienceCertification: Securities Practitioner Certification.
2 Senior Procduct Designer
1 Good understanding of foreign derivatives markets; make suggestions on derivatives development strategy and its implementation;
2 Good understanding and continuous follow-up on China's securities market system, financial deriviatives innovation and market trend; good judgment on market tendency;
3 Research, design and development of innovative products ;4 Good understanding of financial derivatives, product design,
algorithms and models; plan out investment strategy; 5 Plan out risk aversion strategy for the financial derivatives issued
by the company;6 Plan out multi-market and multi-product transactions strategy; 7 Lead the research team to lay out system requirement; coordinate
between research team and system development staff.
1 Education: DoctorExpertise: Majoring in Finance or Economics, etc.Experience: At least 5 years relative experience Certification: Securities Practitioner Certification.
3 Chief Engineer 1 Design and develop technology platform for innovative business back-office;
2 Organize development of algorithms and models for derivative products; make general design, specific design and programming for the derivative products arbitrage system;
3 Organize the design and management of technologies and system manuals; make testing plans, organize and monitor testings, review the testings to ensure normal operation of new products;
4 Participate in design of innovative products; assist in quantitative analysis of derivative products;
5 Supervise normal operation of online system; develop emergency plan for the system;
6 Organize to solve the abnormality in new business IT system, revise programming and solve the problem;
7 According to the need of the innovative businss and new transaction strategy, organize the analysis, design and coding to plan out upgrading.
1 Education: Master or aboveExpertise: Project management, programming, system analysis, design & developmentExperience: At least 5 years relative experience Certification: Securities Practitioner Certification.
SHENYIN & WANGGUO SECURITIES CO.,LTD.
上海市赴英美招聘高层次金融人才工作团
[ POSITIONS ]
Address No.171,Changshu Rd.,Shanghai Web www.sywg.com Contact Mao Weizhong
1 Join the Investment Decision-making Panel;2 Plan out investment strategy plan and make decisions on portfolio
position;3 Decide on markets, instruments, targest of investment, portfolio,
risk categories and levels, investment timing, etc; 4 Make adjustment to investment strategies; 5 In charge of research on sectors and listed companies; 6 Plan out bottom-up investment in selected companies.
1 Education: Master or aboveExpertise: Majoring in Finance or Economics, etc.Experience: At least 5 years working experience and 3 years investment management experiece Certification: Securities Practitioner Certification
5 Senior Investment Manager
1 In charge of planning and operating of margin trading & securities lending busienss;
2 In charge of research on margin trading & securities lending busienss; keep updated on securities markets;
3 Improve credit analysis standard and model and evaluate credit ratings of clients;
4 Monitor and allocate credits issued to clients;5 Monitor margins of clients;6 Revise eligible securities pool and margin ratios;7 Conduct research on quantitative risk model;8 Monitor margins of clients.
1 Education: Master or aboveExpertise: Majoring in Finance or Economics, etc.Experience: At least 5 years relative experienceCertification: Securities Practitioner Certification
6 Chief Operating Officer
1 Compile IT maintenance system and supervise its implementation; 2 Compile operation management regulatuions, system maintenance
standard and operation & maintenance workflows; supervise implementation of such regulations;
3 Make suggestions on improving IT system operation and maintenance;
4 IT system construction plan review and post-construction review;5 Compile contingency plan and supervise emergency exercise
testings.
1 Education: Master or aboveExpertise: Majoring in Computer TechnologyExperience: At least 5 years experience in securities firms and 5 years experice operating & managing large systemsCertification: Securities Practitioner Certification
[ POSITIONS ]
No. Job Job DescriptionJobs
AvailableQualifi cations
7 Senior Compliance Manager
1 Compliance review on internal administration system, decision-making, new products and new business;
2 Compliance review and sign on documents submitted to regulators;
3 Compliance monitoring on company and employees' management and conduct; carry out regular and irregular checks;
4 Organize and implement anti-money laundering and firewall system;
5 Provide compliance consulting and training to management and employees;
6 Discover and take action on the illegal conducts or potential compliance risks;
7 Evaluate changes in laws, regulations and rules and their impact on the company; revise and improve management systems and business workflows.
8 Cooperate with regulators and self-regulatory organizations.
1 Education: Master or aboveExpertise: Majoring in Finance, Laws or EconomicsExperience: At least 5 years relative experienceCertification: Securities Practitioner Certification, Certified Accountant, Lawyer, or Economist
8 Deputy General Manager of International Business Division
1 Lead and perform sales and marketing to QFII clients and B-share clients;
2 Organize product development and client services for QFII clients;3 Organize negotiations with QFII clients and B-share clients;4 In charge of risk control and risk management in International
Business Division;5 Assist the company in communications with foreign institutions.
1 Education: Master or aboveExpertise: Majoring in Finance or Economics, familiar with domestic and international securities businessExperience: At least 6 years relative experienceCertification: Securities Practitioner Certification
9 Business Director (Based in HK)
1 Analyze HK and foreign markets; gauge market trend; make suitable strategy;
2 Make cooperation and development plan;3 In charge of market development in HK and foreign markets;4 Plan out marketing strategy according to the company's
characteristics and market demand;5 Develop, maintain and manage client resources in HK and foreign
markets;6 Monitor, instruct and conduct research on new business.
1 Education: Master or aboveExpertise: Majoring in Finance or EconomicsExperience: At least 5 years relative experience and 3 years experience in investment managementCertification: Securities Practitioner Certification
Take a leadership role in planning and building IT infrastructure required by the growing demand of various business lines within the securities firm
1 Postgraduate degree (Master or Ph.D) in Computer 1 Science or related fields from a top university with outstanding academic recordsExtensive knowledge of database, major operation 2 systems and infrastructure designAt least 3 years experience managing key supervising 3 portion of projects of financial IT system within a renowned IT company; or at least 5 years experience of planning and building IT infrastructure within a stellar financial institutionExcellent knowledge of an accelerated financial IT 4 system implementation methodology or equivalentStrong project management and business analysis 5 skills
2 Senior QuantitativeDeveloper(VP Level)
Take a leadership role in developing complex applications in areas such as quantitative analysis and financial derivatives valuation; Work closely with front desk team supporting trading operations
1 Postgraduate degree (Master or Ph.D) in financial 1 engineering or hard science from a top university with outstanding academic recordsOutstanding computer programming and quantitative 2 analytical skillsAt least 5 years experience of developing applications 3 in quantitative analysis and financial derivatives within a stellar financial institution; Experience of integrating internally developed applications with vendor products is a plus. Top-notch analytical skills and communication skills4
3 Equity Research Analyst(VP Level)
Provide equity research and generate investment ideas for buy side clients
2-3 1 Postgraduate degree (Master or Ph.D) from a top university with outstanding academic records
2 CFA is a plus3 At least 3 years experience in equity research within a
stellar financial institution4 Candidate with experience following any major sectors
is welcome to apply.
4 Head of Research, QDII Group (Director)
Lead the research of global equity and fix-income products and generate investment ideas for the QDII investment committee
1 1 Postgraduate degree (Master or Ph.D) from a top university with outstanding academic records
2 At least 5 years research experience of global equity and/or fix-income products within a stellar financial institution
3 The ability to think conceptually about macro economic conditions and to generate investment ideas will be required.
5 Senior Fixed Income Products Structurer (VP Level)
Develop fixed income products and advise the marketing team in promoting the products
1 Postgraduate degree (Master or Ph.D) in financial 1 engineering or hard science from a top university with outstanding academic recordsAt least 5 years experience in pricing and modeling fix-2 income products within a stellar financial institutionExcellent communication skills3
Head Orient Securities' HK office; Expand its clients base and grow the business in HK
1 Postgraduate degree (Master or Ph.D) from a top 1 university with outstanding academic recordsAt least 5 years experience at a major HK financial 2 institutionExtensive knowledge of business development in 3 asset management and institutional salesExcellent management and communication skills4
7 Senior Associate/Project Leader ( VP Level)
Originate and execute M&A deals and cover equity and equity-linked debt; Take a leadership role in client management and new business development
1-2 1 Postgraduate degree (Master or Ph.D) from a top university with outstanding academic records
2 At least 3 years Investment Banking experience with focus on Merger & Acquisitions within a stellar financial institution
3 Strong finance, accounting, writing, presentation, interpersonal and communication skills
4 Track record of successfully executing M&A deals
Develop new business and service existing clients; Contribute actively to the development of the overall marketing strategy and product design of retail brokerage business; Develop broker channel and review incentive program as and when needed
1 1 Postgraduate degree (Master or Ph.D) from a top university with outstanding academic records
2 At least 5 years marketing/sales management experience in retail brokerage at a major brokerage house
3 Extensive experience of leading sales teams4 Excellent marketing and management skills
Develop new business and service existing clients; Develop and improve marketing strategies; Take a leadership role in the expanding of QFII business
1 1 Postgraduate degree (Master or Ph.D) from a top university with outstanding academic records
2 At least 5 years experience in marketing or institutional sales at a stellar financial institution
3 Management experience of QFII business is a strong plus
4 Excellent marketing and management skills
10 Senior Treasury Risk Manager( VP Level)
Maintain and develop risk review programs to adequately address existing and emerging risks which include market risk, liquidity risk and credit risk; Provision of detailed analysis of risk measures for trading desks and senior management; Review valuation methodology and models used by trading desks to value financial derivatives
1 1 Postgraduate degree (Master or Ph.D) from a top university with outstanding academic records
2 CPA with at least 5 years relevant experience within a top-tier investment bank
3 At least 3 years experience of managing risks of financial derivatives
1 According to the fund contract, the corporate investment policy and the research analysis result, defines investment portfolio plan and carries out it after the investment decision committee authorizing
2 According to the investment portfolio and the research analysis result, defines investment portfolio plan and responsible for the investment implementation; Carries on the daily investment portfolio management work to guaranteed that the investment portfolio plan conforms to the fund contract and the related laws and regulations
3 Provide report to the investment decision committee about investment plan and summary regularly, disclosure of relevant information; Give application to Chief Investment Officer or investment decision committee when the investment decision surpasses the jurisdiction and generate request related report base on requirement form investment decision committee
4 Proposes the research demand, request researchers to track the invested variety; and provides the feedback to researcher on project and the implementation situation
5 According to marketing plan and the related regulations, participate in the communication event between customer and channels, strengthens the investor understanding on company's investment service; Participates in media activity, seek for the long-term support from investor
6 Provide evaluation to researcher, exterior securities and trader7 Supervise assistant fund Manager daily work
2 Job requirements:Major in economics or other financial subject. Postgraduate or above. More than 8 years experience in the Fund Management industry including more than 5 years investment management experience, strong knowledge of investment and risk management in a range of assets. Familiar with related laws and regulations. Strong Chinese and English communications skills
Hua An Fund Management Co., Ltd.
上海市赴英美招聘高层次金融人才工作团
[ POSITIONS ]
Address 38F, New Shanghai International Tower, No. 360
1 Establish quantity analysis model and method, consolidate market data, research application of quantity analysis model and method in the investment
2 Using data processing software, establishes quantity analysis model, processes stock market information, and assists analysts to quantity analysis
3 Using the finance engineering technology, research capital market price, risk management and so on, and measure the market risk by building multi-factor model, the interest rate model so that provides quantity support on risk management, the investment strategy, the product design
4 Shares the findings prompt, provide support and suggestion for investment decision committee, risk management committee and fund manager to make investment strategy
5 Conduct the specific research according to the corporate development, provides the research support for other departments
6 Supervise quantity analyst in the research technique, and assists the department head appraisal research results
7 Assist to develop new product 8 Familiar with all kind of property price evaluation model and
finance derivative product, provide improvement to the existing model renewal
2 Job requirements:Major in Financial engineering or Econometrics subject. Postgraduate or above. More than 8 years experience in the Fund Management related industry, strong knowledge of Mathematical logic analysis and statistics. Good at communication, Familiar with financial related laws and regulations.
3 Senior Compliance Manager
1 According to the national law, the profession laws and regulations and the articles of incorporation, assist department head to draft annually compliance policy and plan
2 According to plan and the actual need, conduct risk management on business process and generate report; Establish system according to the laws and regulations, fund contract and risk management's need
3 Examine company and department's regulations and process; propose the suggestion on improvement
4 Coordinate with exterior (Supervisory department, Banks) and internal (Business Function) on daily operation (Investment, Sales, Supporting Functions)
5 Supervise daily work and report collection, track on the potential risk in the report
6 Provide support, recognition, evaluation for the new product and generate report on that
7 to plan, organizes training and provide advisory to staff8.According to Supervisory department's request, provide related material or information; Collect opinion on draft regulation9.Deal with client’s complaints
2 Job requirements:Major in Financial or Accounting subject. Postgraduate or above. More than 8 years working experience in the Fund Management related industry including more than 5 years compliance working experience. Good at problem solving, analysis and communication, Familiar with financial related laws and regulations. CPA CIA Attorney qualifications are preferred
Be responsible for the investment management of QDII fund, including making fund investment strategies, constructing and optimizing portfolio, enhancing risk management and participating in client development and maintenance.
1 1 MBA degree or above from superior international university or Master degree majoring in finance, investment and economy, etc.;
2 three years or above of experience on securities invest management abroad (outside China mainland), investment or research related professional qualification or title;
3 the ability to analyze on the international macro economy and global financial market, the ability to research and analyze on the industries and listed companies, the ability to have a deep understanding and command of the abroad financial market, good communication with the customers, listed companies and the seller side's analysts;
4 working experience in famous international securities investment institutions is preferred.
2 Product Development Manager
Work out the feasibility of the product design and complete the product plan on the basis of the company's product strategy; do research on fund industry and perform competitor analysis, provide pre-sale training and in-sale support for the new product.
1 1 Master degree or above from superior international university majoring in finance, investment and economy, etc.;
2 three years of experience on financial product development abroad (outside China mainland);
3 professional knowledge on finance (economics, securities investment, statistics, financial management), quantitative analysis is preferred;
4 a strong capacity in learning, creation, coordination, communication, execution, language organization and computer application.
FULLGOAL FUND MANAGEMENT CO., LTD.
上海市赴英美招聘高层次金融人才工作团
[ POSITIONS ]
Address 5th, 6th floor of Citigroup Tower, No.33 Garden
Stone Bridge Road, Pudong District , Shanghai , 200120
1. Working with the China onshore investment team to establish the offshore investment platform;
2. Developing the QDII investment process and product plans, including, namely, investment strategies, asset allocations and stock selections processes;
3. Conducting offshore market investment activities for the QDII fund;
4. Coordinating and cooperating with foreign partners on investment related activities.
1 1 University Degree or above in Finance, Portfolio Management or Economics from top overseas universities, CFA Chartered holder;
2 At least 6 years of working experience in equity investment management in offshore markets;
3 Currently acting as Portfolio Manager of mutual funds or hedge funds is a plus;
4 Sound track record in active management of emerging market portfolios is a plus;
5 Working experience in big investment management companies or securities firms is a plus;
6 Team-oriented, ability to work under pressure;7 Good communication and presentation skills in both
English and Mandarin;8 Willingness to live and work in Mainland China for a
long period.
2 Analyst 1 Performing financial analysis and due diligence, writing investment-driven research reports;
2 Undertaking a wide area of business analyses and competitive assessments;
3 Participate company visits, client meetings and roadshows;
4 Interacting regularly with company executives and institutional investors;
5 Identifying and communicating actionable investment ideas to the sales force and institutional clients.
1-2 1 University Degree or above in Finance, Portfolio Management or Economics from top overseas universities;
2 Strong judgment and analytical ability;3 Good communication and presentation skills in both
English and Mandarin;4 Team-oriented, ability to work under pressure;5 CFA Chartered holder is a plus.
3 Marketing Trainee The trainee will be assigned to Marketing / Sales teams in the future.
1-2 1 University egree or above in Finance, Portfolio Management or Economics from top overseas universities;
2 Strong judgment and analytical ability;3 Good communication and presentation skills in both
English and Mandarin;4 Team-oriented, ability to work under pressure;5 CFA Chartered holder is a plus.
Conduct research on global securities markets, conceive and design the company's fund products featuring global markets, develop and execute the company's investment p lan in the overseas markets.
2 1 Master's degree or above in Finance, science or other related field. CFA is preferred.
2 5+ yrs of experience working in securities investment at reputed international investment firms.
3 Possess strong analytical skills and deep understanding of the inner workings of the markets. Good command of Chinese is a must. Computer skills a plus.
4 Personal qualities should include integrity, good communication skills, a team-oriented attitude, ability to work under pressure and strong desire to succeed.
2 Sector Analyst
Research on industries and listed companies. Decision making support for fund management.
4 1 Master's degree or above in Finance, science or other related field. CFA is preferred.
2 3+ yrs of experience working in securities research at reputed international investment firms.
3 Possess strong analytical skills and deep understanding of the inner workings of the markets. Good command of Chinese is a must. Computer skills a plus.
4 Personal qualities should include integrity, good communication skills, a team-oriented attitude, ability to work under pressure and strong desire to succeed.
3 Senior fund product manager
Design & structure equity/hybrid products for fund business.
2 1 Master's degree or above in Finance, science or other related field. CFA is preferred.
2 3+ yrs of experience working in product development at reputed international investment firms.
3 Very energetic, product innovative & have passion on great challenge and success.
4 Possess strong analytical skills and deep understanding of the inner workings of the markets. Good command of Chinese is a must. Computer skills a plus.
Manage QDII funds, conduct research on global securities markets, conceive and design the company's fund products featuring global markets, develop and execute the company's investment plan in the global markets.
1 5+ yrs' working experience in investment management outside Mainland China (USA, Hong Kong, UK, etc.); In-depth knowledge of the market and experience with financial products;Working in large investment management companies or securities companies is a plus.
2 Assistant Portfolio Manager
Conduct research on industries and listed companies of the target markets, Support decision making for fund management.
1 3+ yrs of experience working on securities research at reputed international investment firms;Strong analytical skills and deep understanding of the markets. Good command of Chinese is a must.
3 Fixed Income Analyst
Conduct research and analysis of macroeconomic trends and other issues in global bond and currency markets. Analyze and conduct research on credit of various corporate issuers. Help Portfolio Manager with trading strategy design. Other duties include performance evaluation, risk analysis.
1 3+ years in Fixed Income research. Deep understanding of related fixed income theories. Excellent Excel skills.
4 Quantitative Analyst
Support research and operation on quantitative equity strategies for global market.
1 3+ yrs of experience working on securities research at reputed international investment firms;Knowledge of portfolio optimization, risk model and accounting is a plus; Musthave strong programming skills in Matlab and SQL. Experience with Bloomberg and Reuters is preferred.
5 Quantitative Analyst/Risk Management Analyst
Conduct quantitative investment strategy research, develop quantitative investment model and follow up the development trend of quantitative investment research in abroad.Provide investment risk solutions, integrated reports and suggestions. Perform investment risk and benefits analysis for new products and new business.
1 Familiar with basic theories of Economics and Finance, with master or above degree in related disciplines. Professionals with portfolio optimization and risk management experiences are preferred. With strong quantitative analytical abilities, familiar with applied quantitative statistics analysis software. Database and software development experience is a plus.
1 Develop overall strategy and business plan of the department;
2 Supervising professional actuarial services of actuarial Dept;
3 Familiar with all aspects of company's business;
4 Putting forward constructive suggestion and Updating Expectations;
5 Research on the development of actuarial science at home and abroad; Improve the actuarial process in department.
1 1 At least 3-year qualification as a fellow of SOA or IOA;
2 Major in Actuary;3 Minimum 8-year actuarial working
experience, preferably managerial experience;
4 Qualified for poduct pricing, reserve fund assessment and embedded value asseessment etc.independently;
5 Strong ability of macro-strategy making, organization, comprehensive analysis and language
2 Senior Model Designer of Risk Management Department, Group
Skillful in designing and integrating different types of risk metrological models and tools; Ability to conduct quantitative analyses and organize the defining of risk limits.
1 1 Investment,insurance or actuarial education background;
2 Relavant working experience in large financial institutions or stock-holding Group, preferably investment experience;
3 Good ability of creating and utilizing quantitative instrument
3 Senior Manager of Risk Management Department, Group
1 Be responsible for organizing the implementation of risk management, evaluation and monitoring; Research on the development of risk management;
2 Assist in perfecting the framework and system of the company risk management.
1 1 Work experience in risk management in large financial institutions or stock-holding Group;
2 Deep understanding of monitoring and evaluating insurance risk, market risk, credit risk;
3 Strong communication skills
4 Head of Investment Research Dept, Asset Management Company
Draft and implement annual development plan and working plan of the department; Provide professional services to the investment Dept and offer recommendations; Support the investment performance through prospective study, industry study and quantitative analyses etc.
1 1 Master's Degree or above2 At least 8-year experience in overseas
investment, among which at least 3years management experience.
5 Head of Foreign Exchange Investment Dept, Asset Management Company
Draft and implement annual development plan and working plan of the department; Be responsible for the investment of the trustee funds and own funds, and realizing profit target.
1 1 Master's Degree or above2 At least 8-year experience in overseas
investment, among which at least 3 years management experience.
6 Senior manager of risk management Dept, Asset Management Company
Evaluate and manage the risk during all business, including market risk, credit risk, liquidity risk and operational risk etc.; Strengthen risk management system; Responsible for checking the risk in important business, new business and innovation business.
1 1 Master's Degree or above2 At least 5-year experience in risk
management of overseas investment
7 Head of Investment Dept, HK Asset Management Company
Be responsible for the investment business of HK AMC; Draft and implement company investment strategy and short-term strategy.
1 1 Master's Degree or above2 At least 10-year experience in overseas
investment, among which at least 5 years management experience.
8 Head of Research Dept, HK Asset Management Company
Provide professional services to the management team and investment Dept in HK AMC; Support the investment performance through the research on prospective study, overseas market etc.
1 1 Master's Degree or above2 At least 10-year research experience in
overseas investment, among which at least 5 years management experience.
9 Head of Risk Management Dept, HK Asset Management Company
Build up an effective and high efficient risk management system; Formulate investment risk control policy, stipulate the process to identify, evaluate, manage and control the risk during the investment of insurance asset. Make sure all the operation complying to the related policy and regulation.
1 1 Master's Degree or above2 At least 10-year experience in risk
management of overseas investment, among which at least 5 years management experience.
1 Make asset allocation and investment guidelines for pension schemes of entrusted companies, according to the rules and regulations of pension business; Establish Chinese-characterised management system of pension entrusted business, based on advanced international conception, including making procedures and systems for pension entrusted business, investment and supervision business, asset allocation, enterprise pension scheme management, risk control and etc.;
2 Make short to mid-term estimation on the capital market, via studying international and domestic macro-economy, industry policy and development trend of pension industry and using qualitative and quantitative analysis; Organize the strategic research for pension asset allocation and compile the relevant research report;
3 Responsible for the risk management and control for trustee department according to the advanced international management method for the risk control of pension entrusted business, including the risk control of investment portfolio of pension fund, asset allocation and etc.; Establish risk control and performance evaluation system; Liaise with other relevant departments to make and optimise the risk assessment system and procedures impenetrating the pre-event, amid-event and post-event control of the pension scheme management; Audit, monitor and control the integrated operation of enterprise pension scheme;
4 Approve the Enterprise pension scheme; Design the schemes of asset allocation, welfare and security, and etc.;
5 Responsible for the communication and coordination within the department and with other departments; Submit work report of enterprise pension fund management to company senior management, clients, beneficiaries and relevant supervisory departments on a regular basis; Answer inquiries from clients and beneficiaries; Report to company senior management, clients, beneficiaries and relevant supervisory departments in time in case of big event;
6 Manage and supervise the staffs of the department, including updating the job duties, performance review, implementation of the system, risk control and etc.
1 1 Minimum of Master's degree in economics, finance or relevant field; At least 5 years' working experience of trustee management, asset allocation or relevant area, and at least 2 years' leadership experience of either of the above mentioned departments in prestigious international pension companies;
2 Knowledge of the business operation and rules and regulations of pension fund; Rich experiences in pension fund management;
3 Excellent coordination, communication and presentation skills; Logical thinking; High sense of responsibility and services; High team spirit and capable of working under pressure (CFA and FRM holders are preferred).
CHANGJIANG PENSION INSURANCE CO.,LTD.
上海市赴英美招聘高层次金融人才工作团
[ POSITIONS ]
Address 7F, No. 588 South Pudong Road,
Shanghai, P.R. China, 200120
Web www.cj-pension.com.cn Contact Ms. Ma Xueqin / Mr. Pan Qinghua
1 Establish and optimise the risk management system and operational procedures of pension business, according to the requirements from the Board of Directors and rules and regulations of supervisory institutions, by using the advanced international risk management method integrating the characteristics of pension business, including risk identification, risk measurement, risk control and report system; Ensure the safe, stable, compliant and efficient operation of the enterprise pension business;
2 Assess the investment risk of the pension fund; Assist in the risk control of pension investment strategy and raise the proposal of internal control; Responsible for the assessment and monitor of the market risk, credit risk, liquidity risk, client risk and etc.;
3 Responsible for the overall process risk assessment, diagnoses and control of the enterprise pension fund products, operational procedures and management system, complying with the requirement of risk control; Responsible for the compliance of the enterprise pension business;
4. Audit the compliance of the various departmental systems as well as the internal and external agreements and contracts, promotion materials, information disclosure and etc.;
5 Check and approve the regular self-check reports, assessment reports of trustee management, investment management and account management; Analyse the underlying risks, pre-notice and report to the senior management; Assist with the external supervision from the supervisory institutions;
6 Responsible for the communication and coordination within and outside of the department; Responsible for the routine management of subordinates.
1 1 Minimum of Master's degree in economics, finance or relevant field; At least 5 years' relevant working experience of risk management in prestigious overseas pension companies;
2 Familiar with risk and compliance operational procedures, as well as the policies and regulations of CIRC; Comprehensive knowledge of theory and practice of risk control system and mechanism construction; Proficient skills in various kinds of risk identification, analysis and evaluation, and internal control procedures; Familiar with the requirement of investment, trust and risk control system; Skills of internal control, inspection and supervision;
3 High initiative and devotion to work; mature and honest; Excellent presentation, communication and coordination skills; High team sprit;Innovative and solid writing skills; willing to work under presure (CFA and FRM holders are preferred).
3 Senior Financial Engineer, Risk Management Department
1 Design risk management model, compute VAR value and design other risk control tools by using advanced international method and integrating the characteristics of pension business, in accordance with the risk control requirement;
3 Make qualitative and quantitative assessment on risks and optimize the risk management method, technology and models;
4 Responsible for the normal operation, upgrade and renovation of the enterprise pension fund risk management system;
5 Implement the annual work plan of the department and team;
6 Other tasks assigned by senior managements.
1 1 Minimum of Master's degree in economics, finance and relevant field; At least 5 years' relevant working experience of risk management in prestigious overseas or domestic pension companies;
2 Familiar with risk and compliance operational procedures of pension industry, as well as the policies and regulations of CIRC; Skillful in assessment and monitor of market risk, credit risk and liquidity risk;
3 High initiative and devotion to work; Excellent presentation skills, organization skills, coordination and communication skills; High team spirit.
[ POSITIONS ]
No. Job Job DescriptionJobs
AvailableQualifi cations
4 Assistant Actuary
1 Responsible for the track and research of the domestic and international pension insurance products; Participate in the development of the enterprise pension products;
2 Participate in the design of the enterprise pension scheme and welfare security scheme; Responsible for the scheme model design and calculation;
3 Responsible for making development strategy, designing and materials submitting for approval for debt enterprise pension products;
4 Participate in making the asset allocation strategy for enterprise pension and welfare security scheme; Responsible for the matching management of portfolio's asset and debt.
1 1 Minimum of bachelor's degree in mathematics, statistics, actuary and relevant field (Qualification of actuaries of Northern America, UK or China is preferred).
2 At least 3years' working experience in actuary, accounting or investment in insurance industry; Familiar with relevant rules and regulations as well as administrative rules in insurance field; Proficient in using software of statistics and actuaries;
3 Logical thinking; Strong estimating and analytical skills on data;
4 Excellent personal morality and professional ethics; High team spirit;
5 Proficient in English; Excellent communication and presentation skills.
5 Pension Product Designer
1 Study international and domestic pension products and relevant tax, HR, welfare and security policies, and follow up the trend;
2 Responsible for establishing and maintaining the database of enterprise pension and welfare secuirty schemes, in order to meet the needs of clients;
3 Responsible for designing the scheme of enterprise pension and welfare securty products and performing assessment and analysis for the key elements, such as product revenue, risk and etc.;
4 Responsible for selecting and coordinating the management institution for pension and welfare security products; Participate in making the business rules and contract negotiation for products;
5 Responsible for modifying the product scheme complying with the rules and regulations, change of the demands from enterprise services, risk revenue and requirement from the product management.
1 1 In-depth understanding of Corporation HR management and relevant polices on pension and welfare; Rich experience in VIP customer service;
2 At least 2 years' designing and management experience on insurance products, SMA products or fund products;
3 Strong analytical skills in statistics quantization; Skilled in product actuaries and investment strategic analysis;
4 Excellent written and presentation skills; Strong communication skills; Logical thinking; High team spirit; Willing to work under pressure;
5 Minimum of Msc. in statistics, actuaries or relevant field, or MBA;
6 Candidates with Insurance Actuary, CFA or FRM qualification or experiences of servicing VIP customers are preferred.
1 Design administration measures for financial investment according to SIG's development strategy and business objectives;
2 Promote strategic synergy between financial subsidiaries of SIG; Organize and conduct cross-financial business;
3 Manage the equity of SIG's financial assets, including capital injection, equity expansion, retirement of stock, M&A, assets disposition & integration, securitization and etc;
4 Cooperate with HR department to formulate financial assets performance & valuation appraisal measures and carry out performance appraisal jointly;
5 Collect the statistics information of the long-term financial equity invested companies and write regular analysis reports;
6 Examine and verify SIG's financial investment project within range of authorization; trace, collect, and analyze project information and propose managerial suggestions;
7 Coordinate the project cooperation between departments and financial subsidiaries;
8 Organize and coordinate the administration on dispatched employees of SIG's financial investment projects within the scope of authorization; Collect relevant information and report periodically;
9 Responsible for SIG's equity management, including examination and approval of equity registration, assets evaluation, and trading procedures;
10 Accomplish other missions from superior.
1 1 Graduate from domestic and overseas well-known universities with master degree and above;
2 8+ years' experience of financial investment and corporate management;
3 Skillful in leadership, communication, and organization;
4 Knowledgeable about economy, finance, accounting, law and etc;
5 Outstanding analysis skills and communication skills.
1 Establish risk management system, procedures and measures for all financial business sectors of SIG;
2 Organize risk recognition,assessment, supervision and control;
3 Set up firewall system among all financial business sectors of SIG; Manage the risks of cross-financial businesses;
4 Establish the assets quality monitoring report system, closely supervise changes in assets quality, analyze the causes for non-performing assets, and formulate the measures of risk prevention & resolution;
5 Responsible for designing SIG's internal control system; Organize and urge all business departments and subsidiary companies to establish and improve internal control system, and take precaution against related risks;
6 Keep close watch on the impact of macro economy development, and the promulgation of related state laws, regulations, and policies; Give risk warning signal timely;
7 Responsible for reporting risk statements and data to the Board of Directors and supervision departments;
8 Assist and organize the risk prevention education for SIG employees and raise the risk prevention awareness;
9 Provide instruction to risk control departments of subsidiary companies;
10 Accomplish other missions from superior.
1 1 Graduate from domestic and overseas well-known universities with master degree and above;
2 8+ years' experience of risk management in financial holding companies;
3 Skillful in leadership, communication, and organization;
4 Knowledgeable about economy, finance, accounting, law and etc;
5 Responsibility and professional dedication.
3 QDII Investment Manager (SITCO)
1 Track and analyze the global securities market and various investment instruments to find investment opportunities;
2 Track and analyze the global stock market, fixed income market, derivatives market and alternative investment products(including gold, energy, hedge fund, REIT, private equity investment etc.);
3 Devise portfolio investment strategies and asset allocation plans according to investment policies and market situation;
4 Dynamically manage investment portfolios within the scope of authorization;
5 Communicate and coordinate with overseas investment consultants.
1 1 Master degree or above in finance/economics/accounting from top domestic or overseas universities;
2 Familiar with domestic and overseas securities markets, over 3 years of related investment and research experience in overseas mutual fund/asset management/investment banking or in QDII business of domestic financial institutions, good track record in investment and research;
3 Excellent spoken and written English, well-organized, good communication and coordination skills, good teamwork spirit, CFA Chartholders preferred.
[ POSITIONS ]
No. Job Job DescriptionJobs
AvailableQualifi cations
4 Senior Risk Control Manager (SITCO)
1 Responsible for pre-assessment of various trust projects and evaluation and management of credit risks;
2 Responsible for providing support to the Project Evaluation Committee;
3 Responsible for standard management of due diligence investigation and evaluation of counterparties in transactions;
4 Responsible for dynamic real-time monitoring of the company's own assets and trust assets;
5 Responsible for risk control of various projects from origination to conclusion.
1 1 Master degree or above in finance/economics/accounting from top domestic or overseas universities;
2 Familiar with domestic and overseas securities markets, over 3 years of related risk management experience in overseas mutual fund/asset management/investment banking industries or in domestic financial institutions;
3 Good quantitative analysis skills, familiar with risk evaluation models and procedures, knowledgeable in various financial instruments;
4 Excellent spoken and written English, good organization communication and coordination skills, good teamwork spirit, CFA Chartholders preferred.
5 Chief Economist (SSC)
1 Responsible for research on domestic & overseas economy, policies, and financial markets, proposing viewpoints and writing research report;
2 Provide suggestions for company's significant decisions, schemes and systems;
3 Responsible for providing instruction to analysts on economy & finance research, market analysis, and special topic research;
4 Participate in domestic & foreign academic discussion and theoretical study to promote the academic exchange & cooperation between the company and the outside.
1 1 Doctor degree in economy and finance;
2 8+ years' research & analysis experience in domestic & overseas well-known financial companies with remarkable achievement;
3 Profound knowledge in economy & finance theory, high reputation and market influence in domestic & overseas financial market;
4 Familiar with international & domestic financial market, especially has profound knowledge in domestic macro economy and securities market;
5 Fluent oral English, skillful in English reading & writing.
6 Head of Asset Management & Financial Derivatives (SSC)
1 Responsible for the management of client assets, margin trading and short selling of shares, stock index futures, and other financial derivatives businesses.
1 1 Doctor degree in economy or finance; 2 8+ years' experience in client assets
management in domestic & overseas well-known financial companies.Familiar with investment & research on financial derivatives. Made remarkable achievement;
3 Fluent oral English, skillful in English reading & writing.