Analyst/Snr Analyst | Junior Market Risk Manager | South East Asia – Singapore recruitment
Junior Market Risk Manager
Location: Singapore
Responsibilities:
- Produce daily P/L and risk reports for structure credit derivatives, swaps, interest rates for Emerging Market , ensuring desks’ exposures fall within limits
- Liase with front office on a regular basis
- Explain and analyse daily VaR and trading risk
- Set market limits for credit trading rates trading for Emerging Market
- Interact with traders whenever issues arise or one-off approvals are needed for new products or limit increases.
- Participate in various UATs
- Compute the month-end valuation adjustments and perform price-testing
Ideal Candidate:
- Relevant 2-5 years of experience in Market Risk management in a reputable financial institution
- Minimum Bachelor’s degree in Finance related subjects
- Cross assets knowledge are preferred (Credit/Interest Rate/Fixed Income/FX)
- CFA/FRM Charter holder would be an advantage
- Strong technical skill in VBA
please apply to qrfsing@selbyjennings.com
May 6, 2012
• Tags: Analyst, Risk Management careers in the Singapore, Singapore recruitment, Snr Analyst | Junior Market Risk Manager | South East Asia • Posted in: Financial