Avp, Market Risk

1 week ago


Singapore Sumitomo Mitsui Banking Corporation (SMBC) Full time

Responsibilities:_
- To support review of market risk policies & procedures of APAC offices
- To review requests from APAC treasury departments to change market risk limits
- To support Head Office in implementation of market risk requirements such as FRTB and IRRBB
- To enhance and review the market risk stress testing frameworks of APAC offices
- To support requests from MAS such as IWST, CRAFT
- Facilitate training with APAC Offices
- Requirements:_
- Good knowledge of Market Risk Management (trading and banking book) regulatory requirements and industry standards.
- Familiarity with FRTB, IRRBB, ICAAP, IWST, stress testing will be favorably considered.
- Minimum 2 years relevant experience in market risk management, preferably in banking or financial services.
- Certifications such as FRM, PRM or any market risk-related qualifications would be advantageous.
- Good project management skills and experience.
- Ability to perform gap analysis of market risk management policies and processes against new regulatory requirements and guidelines.
- Self-starter and a critical thinker.
- Proactive, resourceful and able to think and act strategically and tactically.
- Able to multi-task and work independently under tight timelines.
- Strong oral and written communication skills.
- Strong stakeholder management skills.
- Culturally sensitive.



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