Alex Ng has extensive experience in market risk management, currently serving as a Market Risk Manager at OKX since November 2022, focusing on crypto trading risk and the review of new exchange products. Prior to this role, Alex worked at 野村 from April 2020 to November 2022, overseeing market risk for AEJ Credit trading with a particular focus on the China real estate dollar bond market. Earlier experience includes a position as a Market Risk and Liquidity Risk Associate at Banco Santander S/A, where oversight involved treasury functions and liquidity stress testing. Additional roles at 野村 and 凱基證券 involved market risk monitoring and team leadership in equity and credit trading, alongside initial experience as a Credit Risk Analyst. Alex holds a Bachelor's degree in International Business and Business Administration from CUHK Business School.
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