Market Risk Manager – Emerging Markets Rates & FX (VP/Dir) recruitment
Leading Global Investment Bank, Singapore
KEY RESPONSIBILITIES:
- Risk analysis of Asia portfolios, assessment of IR FX trades and involvement in new business initiatives for Market Risk
- Liaise with traders and Desk heads to identify risk set Risk Appetite
- Ensure material risks are apparent to senior management
KEY REQUIREMENTS:
- Hands on Asian Emerging Markets experience (risk, trading, research or strategy)
- Asia markets product knowledge, essential
- Good knowledge of local Asia markets, liquidity of the various markets, local specifics (e.g. onshore/offshore), and relevant regulations
- Proven ability to prioritise multiple complex tasks simultaneously
- MSc in an science or finance field is desirable
January 10, 2012
• Tags: Debt, DIR recruitment, Fixed Income careers in the Singapore, Market Risk Manager – Emerging Markets Rates & FX (VP • Posted in: Financial