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True North Partners LLP in Singapore seeks an entrepreneurial manager to strengthen its SG consulting team in risk modelling, capital management, and sustainability for financial services. You will lead client engagements across FS, develop risk models, and drive implementation strategies with a focus on MAS regulatory requirements.
The role requires 8–10 years in management consulting, a master’s in quantitative studies, and strong programming skills (Python/SAS/R/SQL).
True North Partners LLP is an independent consulting firm with presence in Amsterdam, Dubai, Frankfurt, Johannesburg, Lisbon, London, Madrid, Singapore and Vienna. We have extensive global experience and industry recognition in the financial services, risk management and finance communities.
True North Partners is uniquely distinct from the typical consultant firms due to the following:
Being a boutique consulting firm focused on risk, finance and strategy, we deliver innovative concepts and methodologies
Working across multifaceted competencies of risk, finance and strategy we overcome the traditional silo thinking and offer client-specific solutions as well as sustainable implementation development strategies
Being people driven we allow members of all levels to actively participate in the running and development of our young firm
What we offer
Our company is built for and around its people. It is part of our culture for each member of the firm to take part in the running and development of True North Partners. In particular, we offer
Competitive Remuneration and free choice of residence within our office countries
Remote working
A motivating, inspiring and team-oriented work environment with co-workers from a variety of hemispheres and backgrounds
Weare looking for an entrepreneurial and dynamic manager to strengthen our SG consulting teamacross our core topic areas of risk modelling, capitalmanagement,and sustainabilityfor financial services:
8 - 10years of experience inmanagementconsulting and the Big 4consultancyfirms, withafocusonfinancial services and /or banking industry (riskmgmt., credit risk, risk modelling).
Strongacademics,i.e.,a master’s degreein quantitativestudies, e.g.,mathematics, industrial engineering, economics, physics,isa must.Certification such as FRM or GARP would be a plus.
Hands‑on experience inrisk model development and validation(i.e., beyond audit or review activitiesfor IFRS 9 and Basel II). Experience instress testing (credit, liquidity,ECAP)isamust.
Hands‑on experience with coding LLM coding agents, such as Claude or Codex and a deep appreciation of LLM’s technical specifications and be willing to demonstrate the skills during the interviews.
Experience in programming languages(Python,SAS, R,SQL, etc.)and data structures
Thorough knowledge oflocal andinternationalregulations in financial services, especiallyMAS.
Experience with the following topics will be an advantage:treasury ALM transformation,IRRBB,behaviouralmodels,IFRS9 modelling and validation,balance sheet management, and ESG integration.
Knowledge of and a practical understanding of the various functions ofabank, credit risk, operational risk, compliance, financialplanningand reporting.
Demonstrated ability to manage teams and clients isa must.
Ability to understand, independently structure, and derive innovative solutions for complex topics within shorttimeframes.
Commercial awareness and ability to find and foster client relationships, existing network of clients and contacts inSingapore and/or ASEAN.
Ambition to drive and contribute to the growth of the firm.Openness to travel,mainly withinASEAN.
Strong communicationskills. Fluent English –fluency inanother South/Southeast Asian language would be a plus.