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Risk Management Analyst: Basel III & Capital Markets

Shinhan Bank Singapore

Singapore

On-site

SGD 50,000 - 80,000

Full time

2 days ago
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Job summary

A leading financial institution in Singapore is looking for a Risk Management professional who will monitor risk indicators, conduct assessments, and prepare management reports. Candidates should have a strong understanding of capital markets and risk management regulations, and proficiency in Korean is required to liaise with clients. Fresh graduates are welcome to apply, making this a great opportunity for early career professionals.

Qualifications

  • Knowledge and understanding of derivatives, securities, and related products.
  • Deep understanding of Capital markets and risk management regulations (BaselⅢ).
  • Holders of financial certifications such as CFA and FRM are preferred.
  • Must be proficient in Korean.

Responsibilities

  • Monitor and report risk limit, risk indicators/measures.
  • Conduct risk assessment to identify potential risks and vulnerabilities.
  • Prepare risk management reports and materials.
  • Oversee Risk & Control Self-Assessment (RCSA) and incident management.
  • Collaborate with cross-functional teams for compliance.
  • Facilitate Risk projects/initiatives.
Job description
A leading financial institution in Singapore is looking for a Risk Management professional who will monitor risk indicators, conduct assessments, and prepare management reports. Candidates should have a strong understanding of capital markets and risk management regulations, and proficiency in Korean is required to liaise with clients. Fresh graduates are welcome to apply, making this a great opportunity for early career professionals.
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