Current jobs related to Risk Manager- Market Risk/liquidity Risk/regulatory Reporting - Singapore - The Resolute Hunter Pte Ltd
-
Risk Manager Market and Liquidity
1 week ago
Singapore The Bank of East Asia, Limited Full time**Responsibilities** **Market Risk Management**: - Monitor, assess, and report market risks related to the bank’s financial products, including interest rate, foreign exchange, fixed income, and derivatives. - Develop and maintain risk measurement models such as Value-at-Risk (VaR), stress testing, and scenario analysis to assess market risks across...
-
Lead Risk Consultant
1 week ago
Singapore Unison Consulting Pte Ltd Full time**Liquidity Risk Assessment**: - Conduct comprehensive liquidity risk assessments, considering both current and future market conditions. - Analyze and evaluate the impact of various liquidity stress scenarios on the organization's liquidity position. - Monitor and assess liquidity risk metrics, including LCR and NSFR, to ensure compliance with regulatory...
-
Analyst, Liquidity Risk
1 week ago
Singapore MUFG BANK, LTD. SINGAPORE BRANCH Full time**Job responsibilities**: The Analyst / AVP within the market risk management department (Liquidity risk team) will be in charge of supporting Liquidity Risk Lead to enhance Liquidity risk management practices and control functions for Singapore branch and provide oversight of Asian branches and/or subsidiaries. The scope of products includes on-balance...
-
Market & Liquidity Risk Manager (Banking Sector)
3 weeks ago
Singapore GREENLANE PRIVATE LTD. Full timeRoles & ResponsibilitiesPosition: Risk Manager (Market, Interest Rate & Liquidity)(Replacement role)ResponsibilitiesManage and monitor market risk, liquidity risk, and interest rate risk in compliance with Head Office and regulatory requirements. Ensure timely and accurate completion of daily monitoring, as well as monthly and quarterly reporting for both...
-
ALM & Liquidity Risk Manager
7 days ago
Singapore RHB Banking Group Full time $90,000 - $120,000 per yearKey ResponsibilitiesCommunicate and build collaborative relationship with stakeholders, including Treasury, operational, processing, financial reporting units.Provide advisory support to stakeholders on liquidity risk / ALM issues. Ensure accurate reporting relating to Liquidity Risk / ALM. Monitor all liquidity risk / ...
-
ALM & Liquidity Risk Manager
1 week ago
Singapore RHB Singapore Full timeOverview 3 days ago Be among the first 25 applicants The role focuses on liquidity risk / ALM advisory, reporting, and governance within the Singapore environment, ensuring compliance with applicable guidelines and supporting risk committees. Responsibilities Communicate and build collaborative relationships with stakeholders, including Treasury,...
-
Head of Market
2 weeks ago
Singapore Ashford Benjamin Ltd. Full timeAshford Benjamin are hiring on behalf of Investment Bank who are building their Singapore operations. As part of this, they have a newly created role for an Executive Director, Head of Market & Liquidity Risk, which will manage a small team whilst reporting directly to the Chief Risk Officer. The job holder will be responsible for building an effective...
-
Market Risk Manager
2 weeks ago
Singapore beBeeRiskManagement Full time $90,000 - $120,000Job Title: Risk Management SpecialistOverview:This is a senior-level position responsible for managing risk in accordance with regulatory requirements.Responsibilities:Risk Management: Manage interest risk, liquidity risk and market risk in accordance with head office and regulatory requirements.Reporting: Complete tasks and reports for internal stakeholders...
-
Market Risk
1 week ago
Singapore GREENLANE PRIVATE LTD. Full timeRoles & ResponsibilitiesWe are hiring an Executive Officer to join a Chinese bank's Risk Management Department, focusing on Market Risk. This role plays a key part in ensuring the bank's investment activities comply with internal risk policies and regulatory standards.Key ResponsibilitiesLiaise with front-office and back-office teams on processing of...
-
Manager - Liquidity, Market Risk Management &
2 weeks ago
Singapore Mercedes-Benz Singapore Pte. Ltd. Full time**Aufgaben**: - Position Available: Manager - Liquidity, Market Risk Management & Execution - SEA Pacific - Reporting To: General Manager - Liquidity, Market Risk Management & Execution - SEA Pacific - Department: Regional Treasury Centre Singapore (RTCS) - ABOUT US: - The Regional Treasury Centre Singapore is part of Mercedes-Benz Singapore Pte. Ltd. and...

Risk Manager- Market Risk/liquidity Risk/regulatory Reporting
3 weeks ago
Seeking for a talent with minimum 5 years of banking experience handling Market risk, Liquidity risk and Regulatory reporting (MAS 610 & MAS 649)*
THE COMPANY
This bank has a strong brand name and are expanding their operations. Currently, they seek for a Risk Manager
- Market risk/Liquidity risk/Regulatory reporting (MAS 610 & 649) to be part of their Risk team.
JOB RESPONSIBILITIES
Collect data and perform analysis for regulatory reporting
Handle risk measurement models (Stress testing, VAR etc.) that comply with regulatory requirements
Handle Regulatory/MAS reporting (MAS 610 & MAS 649) e.g. DTCC derivative/forward FX reporting
Be informed of the latest MAS regulations
Liaise with MAS and auditors for any queries
Be involved in IT system projects/implementations/UAT testing etc.
Collaborate effectively with other internal and external stakeholders
JOB REQUIREMENTS
Degree in Accountancy/Commerce or ACCA or any other relevant education
Minimum 5 years of banking experience handling Market risk, Liquidity risk and Regulatory reporting (MAS 610 & MAS 649)
- DTCC reporting
Able to handle risk measurement models (VaR, stress testing, etc.)
Diligent, solutions-oriented, team player, strong interpersonal and communication skills
EA Licence 18C9105
EA Reg R1105305