Ashford Benjamin are pleased to be partnering a growing Prop Trading business who are hiring within their risk function in Singapore. The Risk Manager will manage trading risk, pricing exposure, and develop tools for risk mitigation. To be qualified, you will have circa 5+ years of relevant experience, which could include working within Prop Trading or for a Hedge Fund, and due to the nature of the role, ideally you will have prior exposure to e-trading risk. Furthermore, with the growth of the Options Trading desk, the risk manager will ideally have a broad asset class background, with good knowledge of derivative options.
For more information on this opportunity or for a general discussion on the risk market, please reach out to dthurmott@ashford-benjamin.com
To apply for this job email your details to dthurmott@ashford-benjamin.com