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Vice President, Prime Risk APAC Analyst

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Barclays

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Location:
China , Hong Kong

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Job Description:

Join our Front Office Team in Liquid Financing, step into a dynamic front office role within the Liquid Financing team, where you will serve as the First Line of Defence (FLOD) for the firm’s financing liquid business. This role spans a broad range of products including cash prime brokerage, synthetic financing (including Delta One), derivatives clearing (Cleared OTC & ETD), intermediation (FXPB), settlement (FIPB) and Repo financing across multiple asset classes such as equities, rates, credit, commodities, FX, and securitised products. In this cross-product, cross-asset capacity, you will engage directly with the firm’s largest clients—including major hedge funds and asset managers—focusing on counterparty risk management, framework design, and structuring terms aligned with the firm’s underwriting standards. Your objective will be to maximise risk-adjusted returns across the liquid financing business while ensuring appropriate risk coverage.

Job Responsibility:

  • Gaining a deep understanding of clients’ trading strategies and working closely with their risk, treasury, and portfolio financing teams
  • Assessing risk and liquidity management practices and evaluating financing or clearing requirements
  • Designing efficient structures and compensating controls to optimise the firm’s risk-return profile
  • Collaborating with internal stakeholders across Risk, Credit, Sales, Legal, and Markets Management to monitor existing portfolios and onboard new clients
  • Leading initiatives with technology and quant partners to enhance risk analytics, visibility, and management tools, while providing technical expertise to both internal and external stakeholders
  • Monitoring the risk exposures for the liquid financing client base and taking appropriate actions to ensure prudent collateralisation
  • Working with clients to optimise the Liquid Financing relationship
  • Provide best-in-class service and escalation oversight
  • Primary contact for Liquid Financing clients in areas such as trading, risk, billing and reporting
  • Provide expertise on industry and regulatory initiatives
  • Subject matter expert for our clients, with a deep understanding of each client’s business mix, operational requirements and product sensitivities

Requirements:

  • Cross-asset market knowledge: Equities, Rates, Credit, FX, Commodities, Volatility, Securitised Products
  • Understanding of financing and clearing: Cash Prime, Synthetics/Delta One, Derivatives Clearing
  • Quantitative analytics: Pricing, risk analytics, liquidity assessment, margin methodologies (design and calibration)
  • Data analysis: Ability to analyse large datasets and derive actionable insights using tools such as Python/Jupyter
  • Risk management: Experience in measuring, articulating, and consolidating risk exposures across regions and asset classes
  • Professional background: Bachelor’s degree in a quantitative field and 5–7 years’ experience in a front office financing role at a major investment bank, hedge fund, or similar institution
  • Stakeholder engagement: Proven ability to interact with internal and external stakeholders on complex, bespoke transactions
  • Problem-solving: Strong capabilities in connecting risk management, pricing, and return optimisation on scarce resources like balance sheet and capital

Nice to have:

  • Strong interpersonal and collaborative skills
  • Experience working with control partners such as Legal and Credit Risk
  • Strategic thinking and business acumen
  • Familiarity with digital tools, technology, and AI
  • Demonstrated ability in risk and controls, change management, and transformation

Additional Information:

Job Posted:
April 10, 2026

Employment Type:
Fulltime
Work Type:
Hybrid work
Job Link Share:
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