
Avp, Market Risk
7 days ago
Sumitomo Mitsui Banking Corporation SingaporePosted 3 hours ago Permanent Competitive
**Manage risk controls**
- monitor compliance to market and liquidity risk management requirements and limits.
- review and validate market data of treasury products
- perform surveillances and checks on transactions, trade activities based on established procedures
- consolidate and organise collected data on irregular activities for analysis to identify potential breaches, misconduct (if any), and/or areas of weakness in risk monitoring
- Implement changes and improvements that aid efficiency and effectiveness of risk control
- Support the daily generation of daily risk reports in the event of manpower shortage
**Maintain market and liquidity risk management policies and framework**
- Gather data required for drafting responses to queries from internal/external auditors. APD (Asia Pacific) market risk management colleagues
- Prepare guidelines and training materials on market and liquidity risk operational procedures
**Monitor and identify market and financial risks**
- Monitor key market and liquidity risk indicators movement across APD and globally, collection information from APD branches to understand impact to overall APD portfolio as regional HQ
**Requirements**:
- Degree holder
- Minimum 5 years of banking experience with good understanding of treasury related products is essential
- Additional experience in market and/or liquidity risk experience is a plus
- Experience in data management in Excel (e.g. VBA, Macro, formula)
- Team player, willing to do hands-on work
- Good communication skills (written and spoken)
- Degree holder with minimum 5 years of Banking experience with good understanding of treasury related products
- Job ID 943699001
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