Perm Risk Management Manager
Responsibilities:
Assist in improving and implementing bank’s risk monitoring and reporting, especially in market risk, liquidity risk, also assist in improving risk control management frameworks, policies, guidelines/procedures and etc.
· Monitor and control market risk, such as FX exposure, bond price, interest fluctuation, hedge effectiveness and etc.
· Manage the process for developing and enhancing risk policies and procedures, risk indicators, risk limits and approval authorities, to ensure they are in compliance with MAS regulations and policies of Head Office.
· Assist in other risk control related works designate by the Department Head.
· Complete market risk analysis report, related stress test, and provide recommendations to improve the branch’s management of market risk.
· Assist in monitoring and control liquidity risk, complete the liquidity stress test and related analysis report.
Requirements:
· Minimum 3 years enterprise risk management experience especially market risk, liquidity risk in the banking industry, with experience of money market trader is preferred.
· Possess professional certificates like FRM, CFA, CPA etc. is preferred.
· Proficient in Bloomberg, Microsoft Excel or other statistical tools, having ability in programming like VBA, Python etc. is preferred.
· Analytical and quantitative skills with a good eye for detail.
· Possess a degree in Finance, Economics, Mathematics or Statistics and other related speciality is preferred.
Salary: $5500 - $7000
Location: CBD
Working hours: office hours mon-fri
Please state your availability, current and expected salary in the resume.
Qualified or interested candidates, please visit our GMP website at www.gmprecruit.com/current_jobs/posting.aspx to apply for this position with GMP Job Code: 24015
Tel: 6233 0450
WA: 87555290
Bryan Huang (R22104680)
We regret that only shortlisted candidates will be notified.
GMP Technologies (S) Pte Ltd | EA Licence: 11C3793 | Bryan Huang | Registration No: R22104680