Non Traded Market Risk Manager
21 hours ago
**Some careers shine brighter than others**
If you’re looking for a career that will help you stand out, join HSBC and fulfil your potential. Whether you want a career that could take you to the top, or simply take you in an exciting new direction, HSBC offers opportunities, support and rewards that will take you further.
Global Risk is a thriving and expert risk management function supporting HSBC globally with all aspects of risk management. The team actively manages a varied and dynamic range of risk types, including security, fraud, information security, contingency, geopolitical, operational, credit, pension, insurance, market and reputation risks. All parts of the Global Risk team use their skills, insight and integrity to handle established threats and those they see emerging, acting to protect and enable HSBC to deliver sustainable growth.
We are currently seeking a high calibre professional to join our team as a **Non Traded Market Risk Manager.**
**Principal Responsibilities**
IRRBB Risk Manager’s role is to work with Markets Treasury, ALCM, Finance, Financial Operations and Traded Risk teams to implement adequate risk management coverage, visibility and controls surrounding IRRBB risk. Key responsibilities include:
- Act as a focal point and provide independent oversight for the interest rate risk issues arising in banking book of the responsible sites
- Communicate key risks and critical issues to Regional and Country Senior Management
- Provide support for the prudent utilisation of the balance sheet.
- Assist with improving the MI and systems infrastructure involved in managing risks
- Assist in strengthening the controls around key risks in managing interest rate risk in the banking book
- Review new products and processes to identify all material market risks and ensuring effective controls around these to ensure appropriate risk management occurs during their life cycle
- Establish strong partnership with the stakeholders and at the same time able to challenge them when necessary
**Requirements**:
**Requirements**:
- 5 years+ front office, market risk, IRRBB risk, ALM or Treasury experience with strong technical knowledge of treasury products and markets
- High level of maturity, resilience, sharp negotiation and communication skills. Able to work independently and under pressure
- Must be able to take ownership of key responsibilities, be a problem solver and above all possess common sense
- Quantitative degree with experience in programming (Python, VBA, SQL) and excellent commercial acumen and proven decision making, interpersonal skills (in particular influencing and communication skills)
To be considered for this role, the relevant rights to work in Singapore is required.
**You’ll achieve more when you join HSBC.**
Issued by The Hongkong and Shanghai Banking Corporation Limited.
-
Assistant Vice President, Non-traded Risk
5 days ago
Singapore MAYBANK SINGAPORE LIMITED Full timeRole Overview: We are seeking a motivated experienced analyst to join our Non-Traded Risk team at Maybank Singapore. This role primarily focuses on individual contributions while also providing guidance and coaching to junior analysts on analytical techniques and methodologies. You will play a key role in measuring and monitoring liquidity risk, ensuring...
-
Team Lead
5 days ago
Singapore MAYBANK SINGAPORE LIMITED Full timeKey Responsibilities: Lead and mentor a team of analysts to deliver high-quality, timely IRRBB and liquidity risk reports and analyses. Provide thought leadership on evolving best practices and measurement techniques in IRRBB and liquidity risk management. Oversee the production of key management and regulatory reports related to IRRBB and liquidity risk,...
-
Market Risk Manager, Manager/associate
2 weeks ago
Singapore ING Full time**Department: FIFM Risk / MRMPC** **Role: Market Risk Manager, Manager/Associate** **Location: Singapore** **Reporting to**:Director, FIFM Risk / MRMPC** **Your work environment** **Job description** The role of the Market Risk Manager/Product Controller is to monitor and analyze P&L and market risk exposure on a day-to-day basis for various products...
-
Market Risk Manager
3 days ago
Singapore NatWest Markets Full timeOur 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...
-
Singapore Maybank Singapore Full time**JOB DESCRIPTION** a) The role is responsible for department BAU and market risk analytics for both Maybank Singapore Limited (MSL") and Maybank Branch Singapore (MBS"). BAU includes risk report generation, risk exposures and threshold utilization monitoring daily rates monitoring, stress testing, P&L attribution and other relevant analytics. b) The main...
-
Singapore 3IL CONSULTING PTE. LTD. Full timeJob Responsibilities: - Develop and expand spot trading of non-ferrous metal products and corresponding hedging transactions. - Monitor and capitalize on low-risk arbitrage opportunities in both spot and futures markets. Integrate trade with finance to enhance profit margins. Job Requirements: - Possess 8 years of relevant industry work experience, with...
-
Intern, Trading Risk Management
21 hours ago
Singapore ING Bank Full time**REQ-10102344**: - **19/09/2025**: - **Trainee**: - **Singapore, Singapore**ING Bank** **Why ING?** The world of banking is changing faster than ever. That’s why we at ING are always broadening our horizons. Our people have a forward-thinking mentality, a strong can-do spirit and enjoy working in an agile environment. **ING in Asia Pacific** - In...
-
Derivatives Market Risk
2 weeks ago
Singapore Kepler Search Full timeDirect message the job poster from Kepler Search Executive Search in Commodities | Connecting Top Talent in Finance, Trade, and Risk with Tomorrow's Industries Budget approx 13k base Responsibilities Analyse Value-at-Risk movements daily, ensuring all position changes are reconciled and clearly explained in the context of market dynamics and trading...
-
Junior Trader Non-linear Trading
21 hours ago
Singapore ING Full time**Core Information** **Job Title: Junior Trader, Non-Linear Trading & Structuring Asia** **Business/Function: Financial Markets** **Location: Singapore** **Job Specification** **Department Overview**: Non-linear Trading & Structuring is an integrated global client driven business with the mandate to trade non-linear and combination products in Rates,...
-
Product Market Manager, APAC
2 weeks ago
Singapore Product Market Manager, APAC Full timeCollinson is a global loyalty and benefits company. We use our expertise and products to craft customer experiences which enable some of the world's best known brands to acquire, engage and retain the most demanding and choice-rich customers. In particular, our unique expertise and insight into high earning, frequent travelers allows us to create products...