Senior Associate/Assistant Vice President, Market Risk Management recruitment
Key Responsibilities: • Preparing risk management reports, with supporting analysis, on the positions held by the European treasury and trading division or the credit portfolio management division.• Carrying out/reviewing business cycle Sarbanes Oxley controls• 5Sourcing and validating independent and relevant market data for revaluations and risk modelling• Conducting and assisting with writing system infrastructure projects specifications to cover the risk management needs• Conducting and assisting with responding to regulator and auditor requests• Liaising with Head Office Read more […]
Manager, Market Risk Management recruitment
Incumbent will be base in Singapore and responsible in all areas of Market Risk and should possess:A Bachelor’s degree with 4 to 5 years market risk management experience;Strong knowledge of market and liquidity risk management techniques;A very good knowledge and understanding of capital markets, financial and derivative products, risk management controls and practices and product valuation methodologies;Good people and communications skills are essential as the position requires the incumbent to deal with Senior Management and Front Office Management at the international units in Asia Pacific Read more […]
Market Risk Management recruitment
Responsibilities:To measure, analyse and monitor market risk within Asia Pacific/ globally for the Equities businessTo be responsible for market risk and other regulatory reportingTo handle VAR computation, data reconciliation, and to develop risk tools etcTo participate in evaluating and introducing of new products and businessesRequirementsMinimum 5-7 years in the financial industry including total 3-5 years of experience in risk management, product control, front office or equivalentExcellent knowledge of banking products, including derivatives and other complex structuresStrong analytical and Read more […]