
Associate - Front Office Risk - Global Markets
5 hours ago
**Location**
Singapore, Central Singapore
**Job Type**
Permanent
**Salary**
$8,000 - $16,000 Per Month
**Date Posted**
2 hours ago
Additional Details
**Job ID**
139915
**Job Views**
1
**Job Description**:
Roles & Responsibilities
**Nomura Overview**
**Department Overview**
Nomura’s Front Office Risk team covers various gamut of Risk and capital Management activities for the Global Markets business globally. The team works directly with Heads of Global Markets (Global and regionally) with the Global head of FO Risk based in Tokyo. Team roles can be divided into three main categories:
- Front Office Risk tasks including daily analysis of GM risks and PnL and identifying potentially toxic risks and PnL drivers. This also includes stop loss management for all GM traders and working with them for any risk reductions required in line with the stop loss policy.
- Capital Analysis and Planning: To analyse the regulatory capital requirement changes on a regular basis and identifying drivers of capital changes. Team also looks at developing potential trades to mitigate capital increases.
- GM Representation for special projects: Team represents global markets within various committees for new regulatory projects like BCBS239 and FRTB. It includes communicating GM requirements from these projects and ensuring they are fulfilled.
**Responsibilities**
- Will work closely with the Front Office Risk team in AEJ. The focus will be on helping on the Daily Monitoring of Risks and PnL across FX Businesses in AEJ and Globally (FX G10 and EM) and with also taking some coverage of other businesses in the Region.
- Will work closely with Business and IT to streamline the daily monitoring of Risk and PnL, and the reporting processes to Senior Management and senior traders
- Stop loss management for AEJ traders and working with them for any risk reductions required in line with the stop loss policy
- Looking at risk taking in trading desks and talking to traders as well as the Risk Managers and any relevant team to understand trading strategies, market flows and moves as well as the present and future impact of such risk on GM pnl.
- Assisting to identify new potential risks based on what is happening in the economy or coming from our product flows.
- Assisting with special projects that the team is involved in.
**Requirements**:
- Minimum a Bachelor’s Degree from an accredited university
- Minimum 4 years working experience in a Trading or Risk Management role in a Bank or a Financial Institution with knowledge in FX and/or Rates products.
- Have technical knowledge of financial market products with experience in analysing and advising the risk taken by Global Markets desks
- Experience with Programming would be advantageous
- Strong analytical and Microsoft Excel skills
- The person should have good communication skill as the job will involve a permanent interaction with the traders and all the support functions.
**Regional Disclaimers / Diversity Statement**
Nomura is committed to an employment policy of equal opportunities, and is fundamentally opposed to any less favourable treatment accorded to existing or potential members of staff on the grounds of race, creed, colour, nationality, disability, marital status, pregnancy, gender or sexual orientation.
TSID: 1215434
Tags
associate
front
office
risk
global
markets
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