Market Risk Associate Director (Investment Firm)

The Company
Our Client is a renowned Investment Company based in Singapore, covers a broad spectrum of industries such as financial services, telecommunications, consumer and real estate.

The Role
The incumbent is responsible for enhancement and implementation of reports for risk and performance reporting and benchmarking. He also takes care of the development and ongoing monitoring of risk factor reports and dashboard for market risk. In addition, reviewing of derivative pricing and structuring of convertible and exchangeable instruments, and advising on investment execution options via cash or derivative markets are also part of the job responsibilities of the incumbent.

Your Profile
The candidate should possess Degree in Finance/Economics with minimum 7 years of extensive experience in market risk systems, data managements as well as market risk stress testing. Experience with pricing models for equity derivatives and review and risk assessment of structuring term sheets for convertible and exchangeable instruments is preferred. The candidate ideally possesses exceptional communication skills and he will train Junior Analyst within the team.

Apply Today
Please send your resume, in WORD format and quote reference number KL10911, by clicking the apply button. Please note that only short-listed candidates will be contacted.

September 18, 2013 • Tags:  • Posted in: Financial

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