Responsibilities
- Evaluate, monitor and analyze market risk in the Bank
- Perform market risk related control, including limit review, limit monitoring and control all approved limits and escalate of limit breaches
- Perform system data validation and enhancements, develop and enhance systems and templates to capture and monitor risk data
- Conduct regular stress testing, perform data and scenario analysis
- Prepare risk reports in a timely manner
- Risk management committees related preparation (presentation slide and committee's meeting minutes etc.)
Requirements
- Bachelor's degree or above, preferably in Finance, Mathematics or related discipline
- Professional certification such as FRM, PRM, and CFA and experience with asset management will be advantageous
- Minimally 2 years of relevant experiences in market risk management within Banking
- Good knowledge in Treasury products & Derivatives
- Strong communication & stakeholder management skills
Interested candidates who wish to apply for the advertised position, please click on “Apply”. We regret that only shortlisted candidates will be notified.
EA License No.: 01C4394 (PERSOLKELLY Singapore PTE LTD)
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