Societe Generale is one of the leading financial services groups in Europe. Based on a universal banking model, the Group combines financial strength with a strategy of sustainable growth, putting its resources to work to finance the economy and its clients’ projects.
With our regional headquarters in Hong Kong – a core hub of the worldwide Societe Generale Group – we employ over 9,000 employees in the region. Our expertise here ranges from corporate and investment banking to asset management, securities services, global transaction banking and specialised financial services.
You will be part of the Risk department which monitors and manages, directly and independently to the Direction of the Group, the risk exposures. Within this department, you will join the team in charge of the Market Risk management and will be more specifically attached to the team in charge of framework, deal flow and methodology.