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An international wholesale, investment bank is URGENTLY looking for Risk Managers to be based in their Singapore office. They are open to consider individuals with relevant experiences and skills in the banking industry outside of Singapore. Responsibilities: (Key Accountabilities) Scope: - Be the key market risk contact point with the Front Office trading desk. -In-depth understanding of risk exposure and providing value added risk analysisfor Commodities Exotics business - Analysis of requests for market risk limit changes & granting of temporary limit increases within delegated authorities - Analyze specific trade proposals and make appropriate recommendations -Development of market risk methodologies and reporting in support of a rapidly expanding business - Develop and maintain strong working relationships with the businesses, the global market risk teams, and other support functions Knowledge Skills and Experience: (List typical pre-requisites for high performance) -Technical: Graduate level qualification in a numerate, quantitative discipline e.g. Science, Engineering, Statistics. -Inter-personal: confident to deal with front office traders, a team player and able to deliver high standard work tasks in a required timeline. - At least 5 year line experience from market risk, structuring or trading from an investment bank. - Must have ability to understand the nature of market risks associated with the commodity markets and make risk assessments sometimes based on imperfect information - In-depth knowledge of quantitative as well as qualitative aspects of the Commodities market. - Expert knowledge of exotic derivative products, FXO exotics products and respective risk management methodology. Only candidates with relevant skills and experiences need to apply. Please email to Katherine.ho@mrl-financial.com.
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