Responsibilities: • Implement APAC Market Risk framework, policy, procedure and program for Fixed Income business • Oversee market risk limites and review trade authroization • Work closely with business on their daily activities and development of new products and business initiatives • Participate in the implementation of enhanced risk management framework to ensure risks are holistically measured • Assisting models and documentations development to ensure compliance with regulatory and market standard • Identify areas of improvement to simplify work process, thereby increasing efficiency and effectiveness, delivering more quality information for decision making and reducing audit findings and operational incidences Requirements: • Minimum 8 years’ experience in market risk • Solid knowledge in Fixed Income product • Hands-on experience covering market data analysis