1. assist Risk Control officers in completing in-depth analysis of Funds managed in APAC;
2. assist in ensuring that all risks taken are identified and captured in risk systems;
3. models are subject to review, risk based guidelines and reports are implemented on Funds where appropriate and proprietary capital is monitored;
4. assist in ensuring that all market risk and credit risk regulatory and policy requirements are adhered to;
5. assist in daily monitoring of Funds' risk levels and metrics; production of reports to portfolio managers, business heads and internal F2B Risk Committees as required periodically.