Associate, Market Risk Management and Product Controller

1 week ago


Singapore ING Bank Full time

**REQ-10099549**:

- **22/07/2025**:

- **Financial Risk**:

- **Singapore, Singapore**ING Bank**

**ING Wholesale Banking in Singapore**

We began operating in Singapore in 1987 where we host the regional Asia Pacific headquarters. With over 300 financial eperts, we are the largest wholesale banking branch in Asia. ING stands out in the Asia Pacific region because we go a step further for our customers. We look at things from the client’s perspective which allows us to construct tailor-made solutions to fit the needs of every company we serve. This mentality underpins all our client relations and has produced various prestigious awards.

**Job Profile Summary**

Trading Risk Management is responsible for the daily measurement, control and assessment of the market risk profile and profit & loss of the trading books and provides advice to senior management on risk positions. The department is arranged to mimic the financial markets business lines / asset classes structure within ING. This set up is further supported by global squads that work across locations focusing on a specific asset class / desk, and the team members are epected to be a part of such squads.

This role covers the market risk and product control responsibilities for the Credit Trading and Structured Financing desks that operate out of Singapore. It involves monitoring and reporting risk eposures against the bank’s approved risk appetite, mandates and limits. In addition, product control activities like PL reporting, analysis and calculation of independent valuation adjustments / reserves are part of this role. The role sits under a wider team covering other asset classes. The team has a joint responsibility to deliver on the miscellaneous requirements for reporting/control and to participate in system project rollouts, regulatory deliverables and new product initiatives.

**Responsibilities**:
Recurring
- Ensure timely delivery of accurate daily VaR, Risk and P&L report.
- Perform Risk analysis independently and collaboratively within the team. Ensure trading limit ecesses are rectified/e
- plained or escalated. Backtest the VaR and highlight/e
- plain outliers.
- Ensure timely escalation & resolution of booking or market data errors, if any, that impact efficient risk management and valuations.
- Keep track of market developments/changes and its impact on trading strategy highlighting changes and issues to local management as well as direct discussion with Front Office personnel.
- Preparation of monthly risk meeting for Risk and P&L discussions among Front Office, TRM and Finance.

Others
- Participate in system enhancements and IT projects for the desk.
- Be a member of global asset class Risk squad that works across locations on deliverables around specific asset classes in a consistent manner.
- Support senior team members and the manager in any new product or one-off trade approvals.
- Provide market risk assessment to senior stakeholders in the business while also taking on ad hoc tasks, as allocated by the team lead.
- Independently engage with the traders for BAU Risk and PL matters.

**What we're looking for**:

- You have a Bachelor’s/Master’s degree in Finance, Business, or related fields (Economics, Mathematics, etc.). You have 3+ years of e
- perience in Market Risk management.
- You have foundational understanding of linear derivatives and/or financing products (repos, TRS) including related market risk items like the Greeks & market data. You have good VBA knowledge, with ability to work with e
- isting code and encode/troubleshoot simple VBA/macros, basic SQL knowledge is a plus.
- You have strong analytical skills and good communication skills.
- You bring a proactive mindset to work with a willingness to learn new products, processes and asset classes.
- Your place of work

**Eplore the area**

Questions? Just ask
Nagushan Manickam
- Bij ING willen we het beste uit mensen halen. Daarom hebben we een inclusieve cultuur waarin iedereen de kans krijgt om te groeien en een verschil te maken voor onze klanten en de samenleving. Diversiteit, gelijkheid en inclusie staan bij ons altijd voorop. We behan iedereen eerlijk, ongeacht leeftijd, geslacht, genderidentiteit, culturele achtergrond, ervaring, geloof, ras, etniciteit, beperking, gezinssituatie, seksuele geaardheid, sociale afkomst of wat dan ook. Heb je hulp nodig of kunnen we iets voor je doen tijdens je sollicitatie of gesprek? Neem dan contact op met de recruiter die bij de vacature vermeld staat. We werken graag samen met jou om het proces eerlijk en toegankelijk te maken. Lees hier meer over hoe wij staan voor diversiteit, inclusie en erbij horen.



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