Vp, Lead Market Risk Analyst
2 days ago
**VP, Lead Market Risk Analyst (Market Risk Capital Charges)** **-** **(**240001IM**)**
**Why Join**
You will be working with front office traders / sales and experienced risk managers to manage the regulatory capital reporting requirements for the Market Risk portion of the trading portfolio. The role provides an opportunity to appreciate how the various Market Risk greeks and positions of the trading portfolio affects capital requirements, thereby providing a holistic view of market risk management.
**How you succeed**
- Manage internal and external stakeholders effectively in terms of understanding Market Risk capital regulations and requirements
- Strong Market Risk domain knowledge with in-depth understanding of Market Risk greeks across different asset classes
**What you do**
- Deliver comprehensive analytical review and provide insightful commentary explaining Market Risk capital requirements to internal and external stakeholders
- Provide oversight of reconciliation, control and signoff processes on Market Risk related regulatory activities
- Assess impact of capital regulations on individual transactions, new products and business proposals
- Collaborate with functional specialists on Market Risk capital requirements in new product testing and approval process
- Contribute to Internal Capital Adequacy Assessment Process (ICAAP) and other capital forecasting exercises for Market Risk Weighted Assets (MRWA) stress projections
- Participate in FRTB enhancements, patches and fixes where applicable and necessary, to keep abreast with regulatory changes
**Who you work with**
Group Risk Management works independently to protect, build, and drive our businesses. The team support good decision-making. With strong risk analysis. And a crucial, comprehensive role in sharpening our competitive edge. Optimising risk-adjusted returns. It’s about seeking and adopting best-in-class practices. Protecting the group from unforeseen losses. Keeping risk within appetite. Embracing change and managing growth in one of the world’s strongest banks.
**Qualifications**
**Who you are**
- Understand capital regulations and determining appropriate capital interpretations, in particular the Market Risk section of MAS Notice 637
- Experienced in Market Risk management with in-depth understanding of greeks sensitivities across asset classes
- Good understanding of Market Risk regulatory capital requirements, financial products and the corresponding Market Risk greeks
- Effective communicator - both verbally and in writing
- Team player - ability to maintain mutual support within and across teams
- Meticulous, with strong attention to detail
**Who we are**
Singapore’s longest established bank, we’ve been helping people and businesses get what they want from life since 1932. How? By taking the time to truly understand people. From there, we provide support, services, solutions, and career paths that meet their individual needs and desires.
Today, we’re on a journey of transformation. Embracing technology and creativity to become a future-ready learning organisation. But for all that change, the entire focus of our organisation remains to be Simply Spot On.
In everything we do.
And so whether you want innovate needs-based financial services. Work in friendly, supportive teams. Build lasting value in your community. Help people grow their assets, business, and investments. Take your learning as far as you can. Or simply enjoy a vibrant, future-ready career. Your Opportunity Starts Here.
**What we offer**
Competitive base salary. A suite of holistic, flexible benefits to suit every lifestyle. Community initiatives. Industry-leading learning and professional development opportunities. Your wellbeing, growth and aspirations are every bit as cared for as the needs of our customers.
**Primary Location**: Singapore
**Job**: Market Risk
**Organization**: Market Risk Management
**Schedule**: Permanent
**Job Posting**: 02-Oct-2024, 9:42:51 PM
-
Risk Analyst
4 days ago
Singapore OCBC Bank Full time**Risk Analyst (VP/ED)** **-** **(**240001RD**)** We are seeking a dynamic individual to join the Chief Risk Officer’s (CRO’s) Office in supporting the Group CRO in the management of the Group Risk Management (GRM) division. You will monitor risk developments across the Bank’s regional footprint and keep track of the performance of various teams...
-
Market Risk Vp
11 hours ago
Singapore Hyphen Partners Full timeA- Posted by - Agnes Chan- Recruiter Our client, an investment bank and brokerage, is looking for a VP of Market Risk to join them. In this role, you will be involved in assessing market risks, ensuring that parameters are within risk appetite and policies. You will ensure that senior management is kept abreast with breaches and changes to thresholds...
-
VP/SVP, Operational Risk Management
2 days ago
Singapore GIC Full timeJoin to apply for the VP/SVP, Operational Risk Management (contract) role at GIC Join to apply for the VP/SVP, Operational Risk Management (contract) role at GIC Get AI-powered advice on this job and more exclusive features. GIC is one of the world’s largest sovereign wealth funds. With over 2,000 employees across 11 locations around the world, we invest...
-
Market Analyst, Ancillary Services
2 weeks ago
Singapore Energy Market Company Full timeMarket Analyst (Ancillary Services) – Energy Market Company The Market Analyst reports to the Manager, Ancillary Services and supports the procurement and management of ancillary services for Singapore’s National Electricity Market (NEMS). Responsibilities The Market Analyst administers the entire life cycle of ancillary service procurement and contract...
-
Market Risk Analyst
2 weeks ago
Singapore ING Full timeDepartment: Trading Risk Management - Financial Risk (TRM-FR) Job Title: Market Risk Analyst Reporting Line: Lingzi Li, Director, TRM Asia Your work environment The Trading Risk Management (TRM) department is responsible for the daily measurement, control and assessment of the market risk, liquidity risk profile and profit & loss (P&L) of the Financial...
-
Market Risk Analyst
4 days ago
Singapore ONYX SG PTE. LTD. Full timeOur client, a Chinese Oil & Gas company specializing in LPG with over 4 billion (USD) in operating revenue is seeking for a Market Risk Analyst. Reporting to the Risk Manager, the Market Risk Analyst will manage the company’s risk framework, performing daily PnL and mark-to-market (MtM) valuations, stress testing, VaR calculations, and supporting analysis...
-
Quantitative Analyst/associate/avp/vp
4 days ago
Singapore First Plus Full timeJob Title: Quantitative Research Analyst/Associate/AVP/VP We are seeking an experienced and motivated Quantitative Research Analyst specializing in fundamental multi-factor strategies to join our Quantamental team. This role is focused on the research, development, and enhancement of quantitative equity models rooted in fundamental data. **Key...
-
Market Risk Analyst
4 days ago
Singapore ONYX SG PTE. LTD. Full timeOur client, a Chinese Oil & Gas company specializing in LPG with over 4 billion (USD) in operating revenue, is seeking a Market Risk Analyst. Reporting to the Risk Manager, the Market Risk Analyst will manage the company’s risk framework, performing daily PnL and mark-to-market (MtM) valuations, stress testing, VaR calculations, and supporting analysis and...
-
Market Risk Analyst
6 days ago
Singapore Optiver Full timeAn exciting opportunity exists for a dynamic Market Risk Analyst to join the growing team at Optiver Singapore. To keep us at the forefront of an ever-changing trading environment, you'll create and improve our current risk framework and monitoring tools. You'll analyse risk and market data to solve practical problems. **WHO WE ARE**: Optiver is a...
-
Vp, Operational Risk
2 days ago
Singapore Ashford Benjamin Ltd. Full timeAshford Benjamin are pleased to be supporting a growing investment bank who have headcount within their 2nd line operational risk function. Our client is hiring for a VP who will be responsible for managing all non-financial risks for APAC (ex-Japan). The incumbent will be responsible for establishing risk policies, developing the operational risk framework,...