
Asia’s leading and trusted securities and derivatives market infrastructure, operating equity, fixed income, currency and commodity markets to the highest regulatory standards.
The Risk Control and Policy team is responsible for monitoring and managing the risks of expected and unexpected events that may have an adverse impact on the company. This includes monitoring of market participants’ risk exposures, stress testing evaluations on potential losses, margining, etc. As an intern, you will aid the team in cross-unit projects and acquire a deeper understanding of the financial markets and products across multi asset classes, and clearing risk management.