Department:Risk ManagementLocation:ShenzhenJob Responsibilities: 1. Coding investment guidelines within the investment/risk management systems;2. Investment Guideline Surveillance including pre-trade and post trade review;3. Execution & Implementation of Regulatory Changes in the systems;4. Archiving of electronic communication records according to company’s standards;5. Checking and validation of communication records;6. Monitoring and surveilling communication records and producing analyzing reports;7. Producing investment risk management reports on fund products;8. Regulatory reporting and fund risk disclosure;9. Fair trading (compare portfolio performance across the same PM/strategies).Requirements:1. Bachelor or Master degree in finance, economics or accounting preferred. Degree of an analytical nature is required. MBA, CFA, CPA, CISA, or FRM is considered a plus but not required;2. 1-2 years of financial services experience in portfolio surveillance, risk management or investment compliance;3. Prior experience with risk management tools in Hundsun system is highly preferred;4. Proficient with MS office including Excel, PowerPoint and Word;5. Experience with mutual fund business in China is preferred;6. Experience with financial data processing is preferred;7. Proficient in English language skills, both verbal and written;8. Strong team player who can simultaneously work independently;9. Logical, Detail oriented, dedication and accountability are key traits sought on this role;10. Basic coding skill is highly preferred.