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Risk Manager – AVP | Singapore, SG

Tangspac

Singapore

On-site

SGD 60,000 - 80,000

Full time

4 days ago
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Job summary

A leading Chinese brokerage firm is seeking a Risk Manager in Singapore. This role involves managing risk for the local entity, maintaining the appropriate Risk Management Framework, and working closely with teams in Hong Kong. Candidates should possess a bachelor's degree in risk management or related fields and have relevant experience in Risk Management.

Qualifications

  • Relevant experience in Risk Management required.
  • In-depth knowledge of Global Markets products such as Securities, Fixed Income, and Derivatives.
  • Ability to work independently and communicate with stakeholders effectively.

Responsibilities

  • Responsible for all aspects of Risk Management for the Singapore entity.
  • Maintain the Risk Management Framework and promote a strong risk management culture.
  • Execute ad-hoc risk projects for the entity.

Skills

Problem-solving
Analytical skills
Communication skills
Business awareness

Education

Bachelor degree or above in Risk management, Accounting, Finance, Business Administration, or related disciplines
Holder of FRM or CFA

Job description

We are hiring for a reputable Chinese brokerage firm, who has won multiple awards in China.

Job Description:

  • With the support from the Risk Management Department in Hong Kong, works as the local point person responsible for all aspects of Risk Management of the Singapore entity
  • On Enterprise Risk Management: Maintain the appropriate & effective Risk Management Framework for the local entity, and promote the sound risk management culture
  • Works closely with the respective risk teams in Hong Kong to ensure Singapore entity’s risks are managed effectively in a holistic way
  • Responsible for ad-hoc risk projects for the entity

Qualifications:

  • Bachelor degree or above, majoring in Risk management, Accounting, Finance, Business Administration, or related disciplines. Holder of FRM or CFA is preferred
  • Relevant experience in Risk Management
  • Able to work independently and communicate with stakeholders such as business team, Legal/Compliance, Finance/Treasury etc. and with head office
  • In-depth knowledge of Global Markets products, such as Securities, Fixed Income, Listed & OTC Derivatives and Structured Products
  • Strong problem-solving, analytical and communication skills
  • Strong Business awareness and understanding of OTC Derivatives trade lifecycle and message workflow

No Hybrid

work location: MBFC

Salary: 7k-10k depending on one's experience

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CMB International Capital Corporation Limited

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