Market Risk Manager
1 day ago
Our people work differently depending on their jobs and needs. From hybrid working to flexible hours, we have plenty of options that help our people to thrive.
This role is based in Singapore and as such all normal working days must be carried out in Singapore.
Join us as a Market Risk Manager
- Risk plays a critical role when it comes to the safety of our bank, which is why you’ll identify and escalate conduct risk to deliver key customer outcomes as our Market Risk Manager
- You’ll drive daily market risk management activities, including the review of risk reports and limit utilisations, and investigate and escalate any limit breaches to relevant stakeholders
- This is your chance to gain a breadth and depth of knowledge and experience in Risk that’ll put you in good stead for further career success
**What you’ll do**:
Day-to-day, you’ll engage with stakeholders about their accountabilities and traded market risks before implementing agreed risk appetites. As well as this, you’ll monitor adherence and escalate breaches while reviewing non-standard deals across trading desks to approve for market risk.
We’ll need you to approve of products used for hedging purposes and prepare and document limit sanctions. There’s also opportunities of projects or initiatives in the wider Asia Pacific Risk team covering risk disciplines aside from market risk.
In addition, you’ll be responsible for:
- Supporting senior management to develop risk appetite and implement the market risk limit framework
- Developing a detailed knowledge of financial markets, investment strategies, liquidity management and key income drivers
- Looking into the ongoing operation of risk models and working with market risk methodology on improvements
- Reviewing trade proposals and non-standard deal documents and making recommendations on approval that’re dependent on sign-off level
- Making sure risk is accurately represented in the market risk systems and that the control framework is effective
**The skills you’ll need**:
To be successful in this role, you’ll have at least five years’ experience in market risk management in investment banks.
You’ll also need:
- Financial markets and products knowledge, particularly in FX and fixed income markets
- To be self-driven and have a change mindset that can help you challenge and improve status quo
- The ability to convey complex concepts and issues in a clear and concise manner to stakeholders across all levels of seniority
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