Societe Generale is one of the leading financial services groups in Europe. Based on a diversified and integrated banking model, the Group combines financial solidity and a strategy of sustainable growth.
The role is to provide risk control services for hedge fund counterparties and investments, fund of fund counterparties and investments, and central counterparties risk management. In particular, it performs risk assessment, mitigation, approval, and monitoring processes for the Core Businesses at SG Group that transact with, clear for or invest in hedge funds, take collateral consisting of hedge fund shares, and central counterparties. The risk types are credit, liquidity impairment and reputation risk resulting in credit losses. Location for the role: Hong Kong
The scope covers the combined Asia operations, and all operations originated in ASIA that are conducted within the Investment Banking business line and whose risks are managed and monitored in ASIA.