Global Head | Equity Finance and Trading Credit Risk Management Join to apply for the Global Head | Equity Finance and Trading Credit Risk Management role at Macquarie Group Global Head | Equity Finance and Trading Credit Risk Management2 days ago Be among the first 25 applicants Join to apply for the Global Head | Equity Finance and Trading Credit Risk Management role at Macquarie Group Join our Equity Derivatives and Trading team as Global Head of Equity Finance and Trading Credit Risk Management. Our Equity Finance business provides clients with synthetic equities exposure, financing solutions and securities borrow and lending services across the major global equity markets. While Macquarie offers hybrid working for many of our roles, this role does require 5 days a week in our office location. At Macquarie, our advantage is bringing together diverse people and empowering them to shape all kinds of possibilities. We are a global financial services group operating in 31 markets and with 56 years of unbroken profitability. You’ll be part of a friendly and supportive team where everyone - no matter what role - contributes ideas and drives outcomes. What role will you play?As an experienced leader, you will drive a sophisticated credit risk management function within Equity Finance and Trading to safeguard and support the growth of the synthetic equity and securities financing business. You will develop and execute the overall credit risk strategy and lead a high-performing team. You will be responsible for identifying, assessing and mitigating credit risks associated with our clients including hedge funds and financial institutions. This will include the monitoring and reporting of credit risk exposures across all client portfolios and conducting in-depth credit analyses. You will be required to interact with external clients and counterparties, including senior management, such as CIOs, COOs and Heads of Risk. Working closely with Macquarie’s Credit Risk team, you will make recommendations for onboarding, credit limits and margining agreements and act as the central point of contact for the business on all credit related matters with clients, counterparties, regulators and internal stakeholders. What You Offer10+ years’ experience from a Prime Brokerage risk role including management of the hedge fund client business and detailed knowledge of equity swap and SFT products Advanced analytical skills covering credit risk modelling, stress testing and scenario analysis Detailed knowledge of industry best credit practices across hedge fund reporting, legal documentation (ISDA, CSA), margining and portfolio monitoring Detailed understanding of credit risk regulatory frameworks Proven track record of leading and developing high-performing teams Excellent communication skills with the ability to deal effectively with clients and internal stakeholders. We love hearing from anyone inspired to build a better future with us, if you're excited about the role or working at Macquarie we encourage you to apply. About Commodities and Global Markets Commodities and Global Markets is a global business offering capital and financing, risk management, market access, physical execution and logistics solutions to its diverse client base across Commodities, Financial Markets and Asset Finance. Our commitment to diversity, equity and inclusion We are committed to fostering a diverse, equitable and inclusive workplace. We encourage people from all backgrounds to apply and welcome all identities, including race, ethnicity, cultural identity, nationality, gender (including gender identity or expression), age, sexual orientation, marital or partnership status, parental, caregiving or family status, neurodiversity, religion or belief, disability, or socio-economic background. We welcome further discussions on how you can feel included and belong at Macquarie as you progress through our recruitment process. Our aim is to provide reasonable adjustments to individuals who may need support during the recruitment process and through working arrangements. If you require additional assistance, please let us know in the application process. Seniority level Seniority level Executive Employment type Employment type Full-time Job function Job function Finance and Sales Referrals increase your chances of interviewing at Macquarie Group by 2x Get notified about new Head of Equities jobs in Hong Kong SAR. 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Global Head | Equity Finance And Trading Credit Risk Management
Free
Global Head | Equity Finance And Trading Credit Risk Management
Hong Kong, Hong Kong,
Modified June 10, 2025
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Macquarie Group (Macquarie) is a global provider of banking, financial, advisory, investment and funds management services.
Macquarie’s main business focus is making returns by providing a diversified range of services to clients. Macquarie acts on behalf of institutional, corporate and retail clients and counterparties around the world.
Macquarie Group Limited is listed in Australia (ASX:MQG; ADR:MQBKY) and is regulated by APRA, the Australian banking regulator, as the owner of Macquarie Bank Limited, an authorised deposit taker. Macquarie also owns a bank in the UK, Macquarie Bank International Limited, which is regulated by the FSA. Macquarie's activities are also subject to scrutiny by other regulatory agencies around the world.
Macquarie’s approach to risk management is long-standing. Strong risk management practices are embedded in business unit management with central oversight of credit, market, funding, compliance and operational risk. These, together with a strong, committed team are key drivers of Macquarie’s success.
Founded in 1969, Macquarie employs more than 15,500 people in approximately 70 office locations in 28 countries. At 30 September 2010, Macquarie had assets under management of $A317 billion.
Specialties
Corporate advisory,
Capital markets,
Securities,
Fixed income, currencies and commodities