Senior Market Risk Manager recruitment
Your key responsibilities include;
- Ensure all material market risks are identified, measured, managed and controlled including the development, implementation and improvisation for market risk methodologies, framework and systems;
- Working closely with Treasury staff and head office Risk Management Group;
- Evaluation and report on daily trading and investment activities, including capital usage and exposure;
- Monitor and control market risk framework and policies as per Singapore and Head Office;
- Evaluate, summarise and prepare reporting for Risk exposure, assessment and control on a timely basis;
- Analyse portfolios and transactions from a risk/reward perspective;
- Provide support for regulatory compliance including the MAS and HKMA.
The successful candidate MUST have at least 7+ years as a market risk manager/quantitative analyst in a financial institution, and possess;
- Sound knowledge/experience in trading, market risk methodologies, securities and derivatives valuations and mythologies and structured products;
- Knowledge/experience in asset and liability management will be a plus;
- Excellent in analytical, numerical and communication skills;
- Excel VBA or access knowledge an advantage;
- Familiarity with market risk systems is ESSENTIAL;
- Proficiency in spoken and written English Chinese is desired.
To apply, email damien@randstad.com.sg. Alternatively you can call Damien on 6510-1363 for a confidential discussion.
**** Please note, ONLY shortlisted candidates will be contacted ****
June 11, 2010
• Tags: Risk Management careers in the Singapore, Senior Market Risk Manager recruitment • Posted in: Financial