Manager / Assistant Vice President, China Risk Manager

Role Summary

This role will report directly to the Head of Risk in Singapore and Head of China Risk & Compliance.   The role will be based in Shanghai, China.

Key Duties and Responsibilities

  • Conduct investment compliance activities for China portfolios, including the coding, testing, review, and monitoring (both pre and post trade) of investment guidelines.
  • Collaborate with stakeholders from different functional teams to ensure that guidelines and portfolio risks are well understood.
  • Ensure that the relevant processes, standards, and policies in China are aligned with Singapore Head Office whilst meeting local regulatory requirements.
  • Conduct operational risk related matters for Shanghai office including managing outsourcing activities, incident management and coordinating internal audits for the business in line with Head Office’s policies.
  • Eventually to cover investment risk management activities for China portfolios, including the review of new strategies, new instruments etc.
  • Provide ad-hoc/regular reporting to support management reporting, decision making.
  • Participate in ad hoc projects and business initiatives e.g. the launch/review of new funds/mandates, system implementation, process enhancements.

Education Qualification

  • Tertiary degree in a related discipline (e.g. Accounting, Finance or Economics, Risk Management, Financial Engineering, Computational Finance).

Experience and Skills

  • Minimum 5 – 7 years of relevant experience.
  • Experience in coding investment compliance.
  • Meticulous, rigorous and analytical.
  • Ability to multi-task and work under tight timeline.
  • Business level communication skills in Mandarin and English.


  • Competitive and reward for performance.

Register your interest for the position by writing to with your CV, resume and transcript (for internships only).