Market Risk Management, Rates and FX – VP / Director Level recruitment

Glenhill Group is recruiting on behalf of a top-tier bank for a senior market risk manager at VP or Director Level. The incumbent will be part of a regional and expanding organisation, leading a team of product managers. Your team will be expected to manage market’s trading activities and the available resources to support the risk management, performance, strategic and breakout objectives for Local Markets business in Asia, Europe and America. You will be required to identify all material risks, quantify using appropriate methodologies, as well as administer risk limits and policy; and ensuring that Institutional risk in Local Markets is assimilated to risk management. You will be responsible on the progression and conservation of risk measurement methodologies, risk limit framework and risk policy, in which you will be required to be updated in both local and the three continents’ regulatory revisions. You will be advising Senior Management of any possible influences to the organisation.

Requirements:

You should have at least a Degree qualification with relevant 8-10 years of experience. Candidates should have Asia market risk management experience and have strong product knowledge in Rates and FX, The role will be based in Singapore but candidates will be required to travel within the Asia region occasionally.

Interested candidates, please send in your latest profile to darrenh@glenhill-group.com stating Job Reference no GGDH0123 in the email.

Only shortlisted candidates will be contacted.