
VP Market Risk Manager
4 weeks ago
Our client, a highly respected Global Investment Bank is looking for an ambitious, results driven Market Risk manager to join their Singapore office. Reporting directly to the Head of First Line Risk, this role will primarily focus on market risk monitoring, market risk reporting and risk analytics relating to their commodities division, namely gas, physical commodities and distillates.
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 yearsexperience 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
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China CITIC Bank International Limited (SG Branch)
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