Join our dynamic Market Risk team, where you'll play a key role in safeguarding the integrity of our treasury and investment activities. This role offers hands-on exposure to credit, equity, and interest rate products while working closely with front office and regulatory stakeholders.
Key Responsibilities:
Monitor and analyze Market and Liquidity Risk exposures across trading and investment portfolios
Collaborate with traders to assess positions, understand strategies, and ensure compliance with risk limits
Prepare daily risk reports and P&L analysis, attributing performance to underlying market drivers
Maintain and validate risk models and data inputs (transaction data, market curves/quotes)
Support regulatory reporting (e.g., MAS, DTCC) and contribute to MRM Committee presentations
Drive risk control enhancements through process reviews, back-testing, and data quality checks
Participate in risk initiatives and projects to strengthen the branch’s risk framework
Requirements:
Min 3 years of experience in market risk, treasury risk, or risk control functions
Strong understanding of investment products and financial markets
Proficient in Excel, VBA, and MS Access; data-savvy with attention to accuracy
Analytical mindset with excellent communication and stakeholder engagement skills
Proactive and adaptable, with a desire to learn in a fast-paced environment
We regret that only shortlisted candidates will be notified. However, rest assured that all applications will be updated to our resume bank for future opportunities.
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EA Personnel Name: Chan E Cheng Simone EA Personnel Registration Number: R25127866 EA License No.: 07C5771