Expoint – all jobs in one place
מציאת משרת הייטק בחברות הטובות ביותר מעולם לא הייתה קלה יותר

דרושים Senior C++ Software Engineer Systematic Risk ב-Bank Of America ב-סין

מצאו את ההתאמה המושלמת עבורכם עם אקספוינט! חפשו הזדמנויות עבודה בתור Senior C++ Software Engineer Systematic Risk ב-China והצטרפו לרשת החברות המובילות בתעשיית ההייטק, כמו Bank Of America. הירשמו עכשיו ומצאו את עבודת החלומות שלך עם אקספוינט!
חברה (1)
אופי המשרה
קטגוריות תפקיד
שם תפקיד (1)
China
עיר
נמצאו 14 משרות
19.08.2025
BOA

Bank Of America Director Senior Technology Manager Application China, Hong Kong, Hong Kong Island

Limitless High-tech career opportunities - Expoint
תיאור:

Required Skills:

  • 20+ Years overall technology experience, with at least 10 years covering Equities, with experience of managing application production support across multiple asset classes/functional areas such as Cash Equities, Electronic trading, Execution services, Derivatives, Prime, Stock Loan
  • Domain knowledge, gained through hands on experience of supporting Equities and sub-lobs within Equities
  • Experience of leading transformative programs/projects in application production support space to improve stability, enable the business and modernize the application production support function
  • Well versed with regulatory framework governing technology incidents across APAC region
  • Thorough understanding of technical areas such as Unix/Linux, Database (Sybase/SQL/Oracle), Perl, Python, Infrastructure, gained through hands on experience of supporting various applications and technologies
  • Track record of leading and managing medium to large teams spread across countries
  • Influential and collaborative skills to drive organization wide changes by embracing change and be a catalyst
  • Experience and thorough understanding of critical aspects for production support such as monitoring, recovery and routines such as recovery simulations and driving the development of required tooling
  • Thorough understanding of ITIL concepts, tools such as ITSM and Service Now. Experience of being involved in migrating to service now will be a big plus
  • Experience with tools such as ITRS-Geneos, Splunk, Dynatrace, Observability, Corvil in an operational role
  • Client relationship/service management experience
  • Proactive, able to multi-task, prioritize and work on own initiative
  • Able to work in a high pressure environment
  • Strong time management skills
  • Problem solving skills both technical and business related
  • Excellent verbal/written communication skills

Desired Skills:

  • Understanding of wider global markets line of business such as Futures & Options, Fixed Income, Commodities, Currencies & Rates
  • Past experience of working in a developer role, preferably for Equities business
Expand
13.08.2025
BOA

Bank Of America Assistant Vice President / Global Markets Risk China, Hong Kong, Hong Kong Island

Limitless High-tech career opportunities - Expoint
תיאור:

Responsibilities:

  • Oversee the regional Global Markets risk reporting function covering all Lines of Business and overall regional risk metrics. These are critical reports and are distributed to senior executives and regulators to provide comprehensive updates on the region’s risk profile.
  • Manage the governance, business operations, controls, and support activities (i.e. service relationships, business continuity) for the APAC Global Markets Risk organization.
  • Lead and participate in key and strategic initiatives as well as issues management. Effectively and efficiently coordinates and drives execution of key priorities.
  • Participate in thematic analyses and deep dives on key risk topics.
  • Lead regulatory coordination across 12 countries.
  • Collaborate effectively with other Global Risk Management teams globally, Front Line Units, and other Enterprise Control Functions on the execution of governance initiatives, and to ensure consistency and best practices across the enterprise
  • Participate in various business control committees to highlight risk arising from the activities within the region

Required Skills:

  • Minimum 2 years experience in global markets risk, governance, business management and/or business controls experience in a large financial institution with a demonstrated history of success
  • Knowledge of market and counterparty risk management and experience with regulatory and internal audit interactions
  • Experience in planning, leading and supporting major projects
  • Excellent verbal and written communication skills, including proven ability to develop executive ready communications and presentations
  • Exceptionally strong attention to accuracy, detail and consistency
  • Ability to multitask and collaborate with numerous team members and across functions/businesses
  • Working knowledge of general bank policies, programs and procedures and control processes
  • Self-motivated, intellectually curious and enthusiastic
  • Understanding of regulatory environment affecting the financial industry and the impact on market and counterparty risk management
  • Excellent analytical and problem solving skills and is proactive in challenging the status quo and driving improvements
  • Confidence in working and communicating with senior leadership team
Expand
12.08.2025
BOA

Bank Of America Vice President Global Markets Risk Manager China, Hong Kong

Limitless High-tech career opportunities - Expoint
תיאור:


This job is responsible for the reporting, analysis, and monitoring applicable market related risks taken within a specific product area. Key responsibilities include analysis of model risk, analysis and reporting of market risk, distributing the market risk reports, and interfacing with the trading desk and other risk and support groups (i.e., Compliance, Finance, Operations, etc.).

Responsibilities:

  • Analyze financing proposals put forth by the Asia Distressed and Special Situations Desk with independent views oncredit/structure/collateraland other risks
  • Analyze issuer risk limit proposals put forth by APAC Global Markets with independent views on the credit, market liquidity, trading velocity and other risks
  • Monitor Asia Distressed and Special Situations Desk trading activity and act as an effective review and challenge function, while setting appropriate position/ portfolio level limits to manage credit and market risks
  • Assess the credit risk exposure evolving with individual credits as well as the Asia Distressed and Special Situations Desk portfolio as a whole with a view to prepare Credit Memos/ Portfolio risk reports on a regular basis
  • Prepare risk reports and provide updates to various forums/calls on a regular basis on the portfolio
  • Provide timely analysis and commentary on issuer risk across APAC to various stakeholders including the front office, country risk executives and other Risk groups
  • Work with GVG/Finance and other support departments to keep a strict vigil on the marks and furnish credit views in discussions
  • Review the credit and market risk feeds and sign off to ensure accurate and timely reporting of credit and market risk in various bank systems. Participate in designing specifications and test new feeds/systems
  • Participate in various New Product/Transaction approval forums
  • Participate in review and approval of the credit risk and issuer risk policies and procedures
  • Participate in various business control committees to highlight risk arising from the activities within the region

Skills:

  • Candidates will typically have over 5 years of fundamental credit analysis experience, with wide coverage across corporates, financial institutions and sovereigns preferred. The position can be suitably upgraded to suit candidates with higher experience if there is genuine interest and there is a good fit
  • Preference will be given to candidates with experience in analyzing distressed/special situation/structured credits and with a background in market risk management.
  • Have excellent writing, presentation and spreadsheet analysis skills • Have a positive orientation and an ability to work in a fast pacedenvironment/multi-taskunder pressure.
  • Have a good academic record with commensurategraduate/post-graduatedegrees from recognized institutions
Expand
08.07.2025
BOA

Bank Of America Assistant Vice President Global Markets Risk Manager China, Hong Kong, Hong Kong Island

Limitless High-tech career opportunities - Expoint
תיאור:

Job Description:

Job Description:

This job is focused on counterparty risk portfolio management and counterparty risk governance for the APAC region. Key work will involve related reporting, analysis and monitoring related to these risks. The role requires the person to work with other risk managers, front office sales and trading as well as other groups particularly Finance, Compliance, Legal and documentation. The person will also be involved in various New Products/Transaction reviews with a view to highlight risk and approve from a counterparty perspective.

Responsibilities:

  • Identifies and monitors counterparty risk exposure and develops mitigation strategies and resolutions in accordance with the bank's risk appetite and risk limits identified, as well as regulatory requirements, as applicable
  • Manages risk requests, breach remediations and providing risk effective challenges for front line units
  • Sets managing risk parameters and guardrails, while ensuring adherence to risk appetite and limits, and actively designing risk scenarios to implement decisions
  • Liaisons with businesses to understand market trends and impacts on portfolio, using knowledge of stress testing and its applicability to counterparty risk
  • Ensures adherence to the policies and procedures established by the company

Required Skills:

  • Analytical Thinking
  • Critical Thinking
  • Portfolio Analysis
  • Risk Analytics
  • Data and Trend Analysis
  • Oral and written communication; presentation skills
  • Issue Management
Expand
19.05.2025
BOA

Bank Of America Vice President/Director Senior Sales Trader China, Hong Kong, Hong Kong Island

Limitless High-tech career opportunities - Expoint
תיאור:

Responsibilities:

  • The role is responsible for managing risk and developing sales trading activities with limited direction from senior staff. Daily responsibilities will include pricing, hedging, trading, booking, reporting risk and P&L.
  • Proactively maintaining and building client relationships, supporting clients with buying and selling financial products, and implementing trading strategies to achieve revenue goals.
  • Having in-depth knowledge of risk management, hedging, and sales trading strategies as well as market characteristics.
  • Execute sales and trading activities for the bank’s clients, while sharing knowledge of the current market environment.
  • Performs sales and trading activities in compliance with regulations, industry standards, and other requirements and ensures trading orders are executed with the highest degree of accuracy and time efficiency.

Requirements:

  • Minimum 6-10 years of relevant experience in APAC Equity Sales Trading for HK/China market.
  • Solid knowledge and understanding of equities products, markets dynamics and risk management.
  • Strong analytical and data skills, with programming (Python) skills an additional benefit
  • Aptitude to work well under fast paced environment.
  • Excellent communication skills, reasoning and problem solving.
  • Strong collaborator who can adjust style to work well with trading, sales and support colleagues.

Skills:

  • Sales Trading
  • Trade Monitoring
  • Trading and Investment Analysis
  • Trading Strategy
  • Business Acumen
  • Risk Management
  • Client Management
Expand
04.05.2025
BOA

Bank Of America Vice President Global Markets Risk Manager China, Hong Kong

Limitless High-tech career opportunities - Expoint
תיאור:


This job is responsible for the reporting, analysis, and monitoring applicable market related risks taken within a specific product area. Key responsibilities include analysis of model risk, analysis and reporting of market risk, distributing the market risk reports, and interfacing with the trading desk and other risk and support groups (i.e., Compliance, Finance, Operations, etc.).

Responsibilities:

  • Analyze financing proposals put forth by the Asia Distressed and Special Situations Desk with independent views on credit/structure/collateral and other risks
  • Analyze issuer risk limit proposals put forth by APAC Global Markets with independent views on the credit, market liquidity, trading velocity and other risks
  • Monitor Asia Distressed and Special Situations Desk trading activity and act as an effective review and challenge function, while setting appropriate position/ portfolio level limits to manage credit and market risks
  • Assess the credit risk exposure evolving with individual credits as well as the Asia Distressed and Special Situations Desk portfolio as a whole with a view to prepare Credit Memos/ Portfolio risk reports on a regular basis
  • Prepare risk reports and provide updates to various forums/calls on a regular basis on the portfolio
  • Provide timely analysis and commentary on issuer risk across APAC to various stakeholders including the front office, country risk executives and other Risk groups
  • Work with GVG/Finance and other support departments to keep a strict vigil on the marks and furnish credit views in discussions
  • Review the credit and market risk feeds and sign off to ensure accurate and timely reporting of credit and market risk in various bank systems. Participate in designing specifications and test new feeds/systems
  • Participate in various New Product/Transaction approval forums
  • Participate in review and approval of the credit risk and issuer risk policies and procedures
  • Participate in various business control committees to highlight risk arising from the activities within the region

Skills:

  • Candidates will typically have over 5 years of fundamental credit analysis experience, with wide coverage across corporates, financial institutions and sovereigns preferred. The position can be suitably upgraded to suit candidates with higher experience if there is genuine interest and there is a good fit
  • Preference will be given to candidates with experience in analyzing distressed/special situation/structured credits and with a background in market risk management.
  • Have excellent writing, presentation and spreadsheet analysis skills • Have a positive orientation and an ability to work in a fast paced environment/multi-task under pressure.
  • Have a good academic record with commensurate graduate/post-graduate degrees from recognized institutions
Expand
Limitless High-tech career opportunities - Expoint
תיאור:

Required Skills:

  • 20+ Years overall technology experience, with at least 10 years covering Equities, with experience of managing application production support across multiple asset classes/functional areas such as Cash Equities, Electronic trading, Execution services, Derivatives, Prime, Stock Loan
  • Domain knowledge, gained through hands on experience of supporting Equities and sub-lobs within Equities
  • Experience of leading transformative programs/projects in application production support space to improve stability, enable the business and modernize the application production support function
  • Well versed with regulatory framework governing technology incidents across APAC region
  • Thorough understanding of technical areas such as Unix/Linux, Database (Sybase/SQL/Oracle), Perl, Python, Infrastructure, gained through hands on experience of supporting various applications and technologies
  • Track record of leading and managing medium to large teams spread across countries
  • Influential and collaborative skills to drive organization wide changes by embracing change and be a catalyst
  • Experience and thorough understanding of critical aspects for production support such as monitoring, recovery and routines such as recovery simulations and driving the development of required tooling
  • Thorough understanding of ITIL concepts, tools such as ITSM and Service Now. Experience of being involved in migrating to service now will be a big plus
  • Experience with tools such as ITRS-Geneos, Splunk, Dynatrace, Observability, Corvil in an operational role
  • Client relationship/service management experience
  • Proactive, able to multi-task, prioritize and work on own initiative
  • Able to work in a high pressure environment
  • Strong time management skills
  • Problem solving skills both technical and business related
  • Excellent verbal/written communication skills

Desired Skills:

  • Understanding of wider global markets line of business such as Futures & Options, Fixed Income, Commodities, Currencies & Rates
  • Past experience of working in a developer role, preferably for Equities business
Expand
בואו למצוא את עבודת החלומות שלכם בהייטק עם אקספוינט. באמצעות הפלטפורמה שלנו תוכל לחפש בקלות הזדמנויות Senior C++ Software Engineer Systematic Risk בחברת Bank Of America ב-China. בין אם אתם מחפשים אתגר חדש ובין אם אתם רוצים לעבוד עם ארגון ספציפי בתפקיד מסוים, Expoint מקלה על מציאת התאמת העבודה המושלמת עבורכם. התחברו לחברות מובילות באזור שלכם עוד היום וקדמו את קריירת ההייטק שלכם! הירשמו היום ועשו את הצעד הבא במסע הקריירה שלכם בעזרת אקספוינט.