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Risk Analyst

MARIBANK SINGAPORE PRIVATE LIMITED

Singapore

On-site

SGD 60,000 - 80,000

Full time

2 days ago
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Job summary

A financial institution in Singapore is seeking a risk management intern to monitor risk exposures and analyze portfolio performance. Candidates should be pursuing a relevant Bachelor's Degree with proficiency in Excel, SQL, and Python. The role involves preparing risk reports and collaborating with cross-functional teams. Ideal for self-motivated individuals ready to manage tasks in a dynamic environment. Interns expected to graduate by July 2026 and join by August 2026.

Qualifications

  • Currently pursuing or possesses a Bachelor's Degree or above in a relevant field, expected to graduate by July 2026.
  • Prior internship or working experience in risk management or banking operations is a plus.
  • Comfortable with ambiguity while steering analytics projects toward clear business goals.

Responsibilities

  • Monitor the bank’s overall risk exposures and ensure adherence to risk limits.
  • Analyze portfolio performance and trends to identify potential risks.
  • Support preparation of regular risk reports and presentations for management.

Skills

Proficiency in Excel
Proficiency in SQL
Proficiency in Python
Familiarity with data visualization tools
Organizational skills
Good written and verbal communication skills
Ability to interpret financial data

Education

Bachelor's Degree in Finance, Economics, Accounting, Business Analytics, Mathematics, Statistics, or related field
Job description
Job Description


  • Monitor the bank’s overall risk exposures and ensure adherence to risk limits and policies

  • Analyze portfolio performance, early warning indicators, and trends to identify potential risks

  • Support preparation of regular risk reports, dashboards, and presentations for management and risk committees

  • Assist in maintaining and improving risk frameworks, policies, and procedures in line with regulatory standards

  • Participate in stress testing, scenario analysis, and other risk assessment exercises

  • Support internal and regulatory reviews, audits, and reporting requirements

  • Collaborate with cross-functional teams including Product, Operations, and Finance to ensure effective risk controls

  • Contribute to continuous improvement initiatives in risk monitoring, reporting, and analytics


Requirements


  • Currently pursuing/possesses a Bachelor's Degree or above in Finance, Economics, Accounting, Business Analytics, MathematicsEstá, Statistics, or a related field at a reputable university with strong academic credentials/results, expected to graduate by July 2026 and join us by August 2026

  • Proficiency in Excel, SQL and Python. Familiarity with data visualization tools is an advantage

  • Prior internship/full‑time/part‑time working experience in risk management, treasury, banking operations, or related field is a plus

  • Comfortable with ambiguity and yet able to steer analytics געשמprojects toward clear business goals, testable hypotheses and action‑oriented outcomes

  • Ability to interpret financial data and translate findings into actionable insights

  • Good written and verbal communication skills

  • Organized, self‑motivated, and able to manage multiple tasks in a fast‑paced environment

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