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Quantitative Risk Analyst
2 months ago
We are seeking an experienced Quantitative Risk Analyst to join our Front Office Modelling and Analytics Group in Singapore. As a key member of our team, you will be responsible for developing, testing, and implementing market risk models in our internal analytics library.
The ideal candidate will have a strong background in functional programming, preferably in Haskell, and experience working on large production libraries. Knowledge of risk modelling techniques, such as Value-at-Risk and Expected Shortfall, is also essential.
Key Responsibilities- Implement and enhance market risk models across all markets and asset classes in our internal analytics library.
- Support the implementation of a robust risk measurement framework for effective risk management and regulatory capital calculation.
- Provide technical guidance and expertise on market risk modelling techniques and their implementation.
- Closely cooperate with stakeholders across the bank, including Traded Risk Management and Group Model Validation.
- Higher degree in a numerical subject, such as mathematics or computer science.
- 7+ years of experience as a developer in a production environment.
- Strong foundational knowledge of mathematics and statistics, with a focus on market risk modelling.
- Expert knowledge of risk modelling techniques, including Value-at-Risk and Expected Shortfall.
We are an international bank with a strong presence in Singapore. Our purpose is to drive commerce and prosperity through our unique diversity, and we are committed to creating a workplace that is inclusive and values-driven. If you are looking for a challenging and rewarding career, we encourage you to apply.
We offer a competitive salary and benefits package, including core bank funding for retirement savings, medical and life insurance, and flexible working options. Our employees also have access to a range of development courses and training programs to support their growth and career advancement.