Average salary: SG$8,932 /monthly
More stats6000 - 7000 SGD
Responsibilities:
To support review of market risk policies & procedures of APAC offices
To review requests from APAC treasury departments to change market risk limits
To support Head Office in implementation of market risk requirements such as FRTB and IRRBB...
5000 - 5700 SGD
...The Specialist, Risk Management (Market Risk) is responsible for the monitoring of the Branch’s level of market risk in Treasury’s business activities and ensuring there is sound risk management practices.
Responsibilities
Key business relationships: treasury, settlements...
12000 - 16000 SGD
...partner, with efficient operations, compliant to all regulations and with a sound risk framework.
CONTEXT OF THE JOB
Use your analytical ability to monitor client portfolios and markets to identify potential risks in client positions
Gain exposure to a broad range...
3500 - 4500 SGD
...accuracy and control across APAC
Learn to use/operate various in-house systems to support daily market evaluation
Responsible for timely generation and processing of all risk management related reports- daily, monthly, quarterly, annual accurately.
Work closely with...
4500 - 6000 SGD
...and prepare timely report and commentaries
Maintain active communications with traders and challenge risk-taking positions where appropriate
Help to design new market risk measures, reports and processes
Assist with month-end trade reconciliation
Ensure company’s...
4500 - 6500 SGD
...Job Description
Our client, an MNC within the Fortune 500 involved in the Oil & Gas industry, is presently looking for a Market & Credit Risk Specialist to join their growing team.
As part of a 13-man team, the Market & Credit Risk Specialist will be responsible for the...
5500 - 6500 SGD
[Order Number: 618672]
Responsibilities
Foster a strong relationship and collaborate closely with the front office to grasp market risk exposures, specializing in credit, equity, and interest rate products.
Supervise transaction data and market curves/quotes to accurately...
10000 - 18000 SGD
...Southern Ridges Capital is a growing firm with a strong culture of collaboration and partnership.
Role Description – Overview
A Market Risk (MR) role at Southern Ridges Capital reports to the CRO and assists in providing oversight of the firm’s spectrum of risk-taking...
...With a strong Front to Back expertise in the cash and derivatives markets coupled by an indepth knowledge of financial markets technologies... ...solutions. We are seeking a highly motivated Murex Market Risk and Credit Risk Consultant with good knowledge & experience in Murex...
...Market Risk Lead, Multi-Commodities Trading US MNC
~ High-frequency trading across multiple commodities asset classes
~10 years' experience in market risk management
~ Quantitative modelling
Would you describe yourself as highly numerate with a flair...
5000 - 7000 SGD
*Seeking for a talent with minimum 2 years of Market Risk (Banking experience) with good skills in Excel, VBA or Access and preferably some knowledge in interest rate, equity and credit products *
THE COMPANY
This bank has a reputable brand. With their longstanding and...
...Where you fit in Based in either our London or Singapore office, the Market Risk Manager is part of the Freight Market Risk Team. They are responsible for understanding the positions and strategies employed by the Freight trading business of Shell Trading and Supply (T&S)...
5000 - 6000 SGD
...facilities granted to client so as to keep bank updated on credit and risk conditions faced by clients
Manage internal bank processes... ..., or trade finance role
Preferably with experience in a marketing role
Good understanding of accounting and corporate matters...
...headquartered in Singapore, with strong financial backing and corporate ownership. They are looking for someone who is passionate about Market Risk analysis to join their team in measuring and monitoring the risk of their commodities portfolio.
Job Description
This role...
5500 - 7800 SGD
...Job Responsibilities:
Oversee and report on market risk across diverse portfolios
Assist team in routine evaluations and stress testing of trading portfolios
Aid in generating risk reports by collaborating with the risk reporting office
Assist in the upkeep and...
5000 - 7000 SGD
...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...
...Market Risk Management / Asset and Liability Management / Credit Counterparty Risk
Review risk policies/guidelines/procedures and develop governance and management processes, including limit setting, methodology and assumption reviews that commensurate to the Bank’...
6667 - 13333 SGD
...Bank trades on the Toronto and New York stock exchanges under the symbol "TD".
Department Overview:
Collateral Risk Management sits within Capital Markets Risk Management (CMRM) which is responsible for the market and credit risk of TD Securities. A global, multi-...
8000 - 13800 SGD
...Key focus is to enhance Market Risk Scenarios system using historical market data from external data vendors and internal systems. That includes data sourcing from various market data vendors, historical data calibration, backfilling, applying proxies, generate Stress & historical...
9000 - 14000 SGD
...Key Responsibilities:
Monitor and analyze market risk exposures.
Identify, measure, and report on market risk metrics, including Value-at-Risk (VaR), stress testing, and scenario analysis.
Work closely with front office to analyse and understand the market risk exposures...
12000 - 17500 SGD
...Responsibilities
Assess, monitor and ensure robust framework for risk and controls in the business and operations of overseas... ...Perform analysis and prepare risk reports related to liquidity and market risks for internal stakeholders.
Responsible for treasury limits...
...With a strong Front to Back expertise in the cash and derivatives markets coupled by an indepth knowledge of financial markets technologies... ...efficient solutions
We are seeking a highly motivated Murex Risk System Analyst with strong knowledge & experience in the client...
7000 - 10000 SGD
...Fixed Income products in Singapore, Thailand, Indonesia, Malaysia, China and its overseas branches across the globe.
Global Markets – Risk implementation using Murex v3. The role is based in Singapore and requires interaction with users and stake holders in Singapore...
12300 - 17700 SGD
...Responsibilities
Monitor, evaluate and ensure robust framework for operational risk management and the effectiveness of internal controls and mitigating actions within various banking operations functions.
Assess and evaluate operational risks faced by the business and...
...Role and Responsibilities
Participate in the validation of risk models and the assessment of new products or business initiatives... ...Python to analyze and interpret complex data sets related to market risk.
~ Understanding of financial markets, non-linear/complex...
16000 - 21000 SGD
...Job Summary:
We are looking for a Risk Manager in the APAC region.
Duties/Responsibilities:
Analyze market conditions and investment strategies to identify potential risks and develop strategies to mitigate them.
Monitor and understand portfolio performance and...
...Business Function
Risk Management Group works closely with our business partners to manage the bank's risk exposure by balancing... ...infrastructure.
This is a senior role is within the GFM Market Risk team. The successful candidate will drive key market risk...
8300 - 10800 SGD
...We're actively seeking a Risk Manager to join our esteemed client, an established Asset Management Firm with a regional presence.... ..., and ensuring swift risk mitigation actions. Staying abreast of market trends and financial developments will also be integral to your role...
1 SGD
...currently operating worldwide, Aramco Trading has broader access to markets, a wider client base, a more talented and diversified workforce,... ...across all products since 2018.
The Function:
The Risk Analytics Analyst is responsible for executing risk analytics processes...
7000 - 10000 SGD
...Job Description
Produce daily P&L and risk reports for the trading benches.
Analyst P&L and risk of the trading portfolio.
Provide... ...reasons.
Assess and monitor risk aspects of the business (market, credit, exchange, operational risk).
Guide juniors on any of...