Job Description
The role will be based in Singapore with some travel to Tokyo and Hong Kong, as part of the Global Market Risk team. The individual will work closely with the Front Office in Asia, as well as members of the global Risk team and other corporate staff. The responsibilities will comprise BAU activities, new business proposals, methodology development, supporting model validation and executing specific projects. The role will report regionally into the Hong Kong based Head of Asian Risk, with functional lines in the Global Market Risk product heads.
Key Responsibilities & Person Specification
Strong academic background with at least a postgraduate degree or equivalent
Proven market facing experience in market risk management, ideally across a variety of products including FX, Fixed Income, and Equities
Business knowledge in addition to market risk management experience will be highly advantageous, multi market experience is preferred
Being a hands-on role, regular desk interface experience is required
Being a self starter - the role is a sole role in the region, strong end user computing skills
Solid understanding of market risk measurement methodologies (sensitivities, VaR and stress testing) and market risk policy
Experience of new product/business development due diligence and related testing
Knowledge of the regulatory environment in the different jurisdictions and products
Experience of performing due diligence on trades (pre-approvals)
Experience of managing and developing risk limits
Experience of RiskMetrics and Calypso, Bloomberg and Spectrum beneficial
Singapore Employment Agency Licence No: 07C2942
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