Derivatives Risk Expert

7 days ago


Singapore beBeeRiskManagement Full time $90,000 - $120,000

We are seeking a highly skilled Market Risk Manager to join our team at FalconX.

As a Market Risk Manager, you will be instrumental in managing and mitigating market risks associated with derivatives trading. Your experience in derivatives risk management and understanding of regulatory environments will help us effectively serve global institutional clients through effective risk management.

Key Responsibilities:
  • Risk Assessment: Conduct comprehensive assessments of market risks, particularly those related to derivatives products across our entities, clients, and trading activity.
  • Trend Analysis: Analyze market trends, price movements, and regulatory developments to assess their impact on our risk position, escalating to the appropriate stakeholders as needed.
  • Risk Metrics Development: Develop and implement risk metrics and monitoring tools tailored to the derivatives portfolio across our entities, clients, and trading activity.
  • Stress Testing: Perform stress tests on the derivatives portfolio to evaluate its resilience under adverse market conditions.
  • Regulatory Compliance: Ensure compliance with relevant regulations, particularly those affecting derivatives trading, and update practices accordingly.
  • Reporting: Prepare detailed risk reports for senior management, highlighting key exposures and trends.
Requirements:
  • 7-16 years of experience in market risk management, with significant exposure to derivatives trading is a must.
  • Bachelor's degree in Finance, Economics, or a related field.
  • Experience working at a major financial institution or with a reputable firm in the industry.


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