VP/Director-Market Risk Manager, FX/Rates recruitment
Main Responsibilities:-
- Responsible for Credit (EM and non-EM) in addition to EM Rates and FX
- The candidate can be responsible for Commodities and GFX products if he/she has strong experience in these areas
- Oversight of the trading activities and risk management process
- Develop, test and implement the risk infrastructure to facilitate risk oversight; including product approval; setting limits and controls; construction of rates and curves; models and pricing functions; stress testing; Value-at-Risk methodologies; developing risk and reporting framework; regulatory and compliance requirement.
- Ensuring all material market risks are identified, measured and managed;
- On-going development and maintenance of risk measurement methodologies, risk limit framework and risk policy for the measurement and management of market risk;
- Assisting the business in meeting its objectives, by ensuring that trading activities are well-managed and meet the Bank’s no-surprise objectives;
- Assisting the trading businesses with one-off transaction approvals and new structured product development within the new product process;
- Fostering a mutually respectful relationship between the Market Risk Group and trading business;
- Contribute to the overall operation of the Market Risk Group and key special projects when appropriate;
Main requirements:
- Emerging Markets Asia Regional experience is REQUIRED, strong candidates with Emerging Markets Europe experience may be considered.
- Sound financial markets / market risk experience (7+ years), in particular Rates
- Strong knowledge of financial markets and market risk
- Sound understanding of market risk management and measurement techniques
- Highly numerate and problem solving abilities
- Strong project management and documentation skills
- Strong written and verbal communication skills
If you are the individual who meets the above criteria and are seeking new challenges, do send in your credentials online in strict confidence. Please note only shortlisted candidates will be notified.
December 24, 2011
• Tags: Director-Market Risk Manager, FX, Rates recruitment, Risk Management careers in the Singapore, VP • Posted in: Financial