Global Market Risk Analyst

ABN AMRO Clearing Bank

Singapore

On-site

SGD 90,000 - 150,000

Full time

14 days+
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Job summary

ABN AMRO Clearing Bank is seeking a risk professional to monitor client portfolios and markets, identify potential risks, and act as a trusted adviser on market risk. You will work with traders, risk managers, and the quant team to validate collateral, assess transactions, and report findings.

Qualified candidates bring 3–5 years in risk/finance, strong analytical skills, and knowledge of equities, futures, and options. Excel, Python, SQL, and Tableau skills are highly valued.

Qualifications

  • 3–5 years of experience in Risk Management/Finance.
  • Strong analytical and problem solving skills.
  • Good knowledge of financial products including equities, indices, options, futures and ETFs.
  • Interest in markets and portfolio management.
  • Attention to detail, accuracy and completeness.
  • Ability to work independently and think through complex problems.
  • Positive, adaptable and eager to learn.
  • Advanced Excel experience preferred.
  • Programming in Python and/or SQL preferred.
  • Data visualization in Tableau preferred.

Responsibilities

  • Perform risk analysis on client portfolios to verify collateral requirements.
  • Communicate with clients to correct risk limit violations promptly.
  • Assess and approve deals involving fund outflow or counterparty risk.
  • Collaborate with Quantitative Modelling team on risk system methodologies.
  • Provide regular risk reports to management.
  • Coordinate with Credit Risk Officer on client profiles and behavior.
  • Analyze new products, prospects, and markets for potential impact.

Skills

Analytical ability
Problem solving
Attention to detail
Independent work
Adaptable
Willing to learn
Client communication

Tools

Excel
Python
SQL
Tableau

Job description

ABN AMRO Clearing Bank is seeking a risk professional to monitor client portfolios and markets, identify potential risks, and act as a trusted adviser on market risk. You will work with traders, risk managers, and the quant team to validate collateral, assess transactions, and report findings.

Qualified candidates bring 3–5 years in risk/finance, strong analytical skills, and knowledge of equities, futures, and options. Excel, Python, SQL, and Tableau skills are highly valued.

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