Job Description:
- Implement and enhance Market Risk framework, policies and processes for the Clearing and Commercial businesses in Singapore
- Perform risk assessment of existing and new financial products / businesses
- Review and recommend / set relevant market risk limits to mitigate identified market risks
- Develop and enhance systems and templates to capture and monitor risk data
- Implement and enhance regular market risk reporting reports to Management and Head Office
- Perform regular internal and regulatory Stress testing and Scenario Analysis
- Perform any other duties that is assigned by the Department Head from time to time
Responsibilities:
- 4 to 5 years of experience in market risk management in Banks. Candidates with experience in Asset Management may have an advantage
- Excellent knowledge and experience across multiple asset classes and business lines
- Good interpersonal skills handling stakeholders across multiple departments
- Good understanding of Basel Market Risk Requirements
- Good Project Management skills
- Good Excel, VBA, Access skills
Salary: $5,000 Per Month