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Company Description
NH Securities Vietnam, a wholly-owned subsidiary of NH Investment & Securities under NH Financial Group Korea, specializes in providing comprehensive financial services. We provide services include asset management, investment banking, and brokerage services and operate through our branches located in Hanoi and Ho Chi Minh City.
Job type: Full-time
Work location: 9th floor, Lotte Center Hanoi East Tower, 54 Lieu Giai, Ba Dinh, Hanoi
Candidates please send your CV to email: [Confidential Information]
Role Description
oParticipate in establishing risk management frameworks, reporting systems, methodologies, standards, and tools to support company-wide risk identification, assessment, measurement, monitoring, mitigation, and enhancement of operational efficiency
oReassess all clients using margin trading services and other financial services of the Company
oProvide advisory opinions on internal processes, regulations, guidelines, products, new projects, and new initiatives of the Company.
oMonitor the implementation and execution of approved policies and regulations across relevant divisions and departments.
oIssue warnings and prepare reports on cases of non-compliance with policies and procedures and/or actions exceeding delegated authority at departments/branches.
oPropose remedial measures and coordinate the handling of arising risk events; identify and warn of existing and potential risks that may impact the Company's operations.
oParticipate in developing policies, regulations, procedures, methodologies, and tools to manage the Company's business activities.
oConduct system testing, feature testing, and product testing for both equity and derivatives trading to ensure effective and accurate risk management.
oPerform other tasks assigned by authorized management.
Qualifications
oBachelor's degree or higher in Finance, Economics, Accounting, Securities, or related fields.
oGood analytical skills with strong attention to detail.
o Strong verbal and written communication skills to effectively present risk assessments and recommendations.
oProactive, dynamic, disciplined, and responsible, with strong logical thinking
oAbility to work independently and collaboratively in a fast-paced environment.
Preferred:
oProficiency in English and/or Korean (good communication and report-writing skills; IELTS 6.5+ or TOPIK level 5+ preferred).
oKnowledge of the derivatives market and derivatives trading systems and/or at least one year of experience in risk management positions at a securities company.
Benefits:
oCompetitive salary and bonus worthy of ability, 13th month salary, holiday and Tet bonus
oFully guaranteed benefits according to labor law (social insurance, health insurance, unemployment insurance are paid with full salary)
oWork in a professional, friendly, modern environment.
oAnnual health check-up regime.
oHealth and accident insurance.
oParticipate in the Company's training programs.
Job ID: 145423893