Market Risk Control & Analysis Manager | Singapore recruitment

Tier 1 Global Investment Bank seeks Market Risk Manager as it aims to grow its market risk operation in Singapore. Candidate will work closely with top tier risk team and traders in a fast paced and dynamic working environment.

The Role:

• Manage regional market risk for Emerging Market (Asia) for Fixed Income, Interest rates, FX, structured products, derivatives and options

• Conduct valuation of cross asset trading reporting.

• Review and propose limits with regional trading strategies

• Conduct PL, risk exposure reporting, VaR, liquidity risk, greeks and sensitivity analysis

• Act as liaison with Asian regional branches to ensure timely and accurate risk management.

• Be a member of ALCO committee for Singapore office

Ideal Candidates:

• 5-8 years of relevant market risk control/analysis experience in a bank/Financial institution

• CFA/FRM charterholders are preferred

• Strong cross asset and market knowledge

• Strong with VBA/Excel

• Effective team player and good communication skills to liaise with traders and regulators

Please send all applications to qrfsing@selbyjennings.com or call us at +65 6808 5600 for more information.