Vp Market Risk Manager

2 weeks ago


Singapore T+O+M Full time

**Responsibilities**:

- Develop a close relationship with the front office to support new deals and appraise trading activities to ensure mandated exposure and risk limits are adhered to
- Manage balance sheet liquidity and capital in accordance with regulatory requirements
- Responsible for market risk reporting, stress testing and modelling
- Use industry knowledge of gas and distilleries to manage risk identification of portfolio assumptions and market inputs
- Collaborate with the inhouse quantitative teams to progress future pricing, valuation and risk models
- Involved in risk automation projects as required and risk reporting to consolidate processes

**Prerequisites for role**:

- 10-15 years experience within a Market Risk role from a Financial Services group or bank with broad power market risk experience
- An excellent understanding of market risk fundamentals, P&L, exposure, VaR, stress testing and modelling concepts
- Competent in assessing trading valuations, model calibration and parameters
- Exceptional analytical skills including coding ability



  • Singapore DBS Bank Full time

    VP, Operational Risk, COO Office, Global Financial Markets Join to apply for the VP, Operational Risk, COO Office, Global Financial Markets role at DBS


  • Singapore Ashford Benjamin Ltd. Full time

    Ashford 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,...


  • Singapore UOB Full time

    Overview Join to apply for the VP, Non-Financial Risk Management role at UOB Join to apply for the VP, Non-Financial Risk Management role at UOB About UOB United Overseas


  • Singapore Bank of Singapore Full time

    **Market Risk Manager, Collateral Management (AVP/VP)** **-** **(**240001I5**)** **Description** Collateral Risk Management Team oversees the management of market risks arising from collateral received in connection with BoS client’s borrowing against security and derivative trading activities. The team’s objective is to manage risk efficiently and...


  • Singapore Bank of Singapore, Asia's Global Private Bank Full time

    Join to apply for the Risk Manager, Collateral Risk Management (AVP/VP) role at


  • Singapore OCBC Bank Full time

    **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...


  • Central Singapore Emprego SG Full time

    **Location** - Singapore, Central Singapore**Job Type** - Full Time**Salary** - $14,000 - $20,000 Per Month**Date Posted** - 3 hours agoAdditional Details **Job ID** - 46155**Job Views** - 2Roles & Responsibilities Overview Morgan Stanley is a leading global financial services firm providing a wide range of investment banking, securities, investment...


  • Singapore GIC Full time

    Join 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...

  • Vp Operational Risk

    1 week ago


    Singapore Ashford Benjamin Ltd. Full time

    Ashford Benjamin are hiring on behalf of growing Securities House who are recruiting for a VP Operational Risk professional to join their wider risk management function. The job holder will be responsible for all operational risk incident collection, investigation, monitoring, and reporting. Furthermore, the incumbent will manage Risk & Control Self...

  • Risk Analyst

    3 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...