
Market Risk
1 day ago
**Location**
Singapore, Central Singapore
**Job Type**
Full Time
**Salary**
$5,000 - $9,000 Per Month
**Date Posted**
26 minutes ago
Additional Details
**Job ID**
15855
**Job Views**
1
**Job Description**:
Roles & Responsibilities
**Overview**
Morgan Stanley is a leading global financial services firm providing a wide range of investment banking, securities, investment management and wealth management services. The Firm's employees serve clients worldwide including corporations, governments and individuals from more than 1,200 offices in 41 countries.
**Firm Risk Management**
Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering with business units across the Firm to realize efficient risk-adjusted returns, acting as a strategic advisor to the Board and protecting the Firm from exposure to losses as a result of credit, market, liquidity, operational, model and other risks.
**Background on the Position**
The role will reside within the Firm Risk Managements Market Risk Department (MRD), which is the Firms independent market risk function providing oversight of market risk that arises from the Firms trading and non-trading business activities. MRD independently identifies, measures, monitors, reports, challenges, and, when necessary, escalates market risk exposures and provides timely and accurate reporting to senior management.
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**CORE RESPONSIBILITIES INCLUDE**:
Identifying, assessing and monitoring risksrelated to the Firms trading activities with initial focus on commodity related products.
Supporting senior risk managers on a variety of tasks, which include, but not limited to, deal approvals, risk analysis, limit setting, and providing risk transparency.
Connecting with trading desks, risk management colleagues, and other support groups regarding trading and hedging strategies, risk representation, and limit compliance.
Conduct various risks analyses and support senior risk managers in creating presentations for senior management.
FRM is committed to creating and providing opportunities that enable our workforce to reflect diverse backgrounds and views.
**Experience and Skills**
An excellent academic background with a University degree. A degree in a quantitative discipline, such as economics, finance, sciences or engineering. A higher level degree or other qualifications would be looked at favorably.
Strong ability to think critically and desire to learn.
Basic knowledge of financial markets and equity products is a plus.
Proactive with the ability to work as part of a close-knit team as well as independently.
Excellent communication skills for written, graphical and verbal presentation.
Strong proficiency with PowerPoint and Excel is required; VBA or other programming skills as well as a working knowledge of databases and SQL is preferred.
Tags
market
risk
commodities
trading
associate
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