Ashford Benjamin has been instructed to support a Global Investment Bank who is growing its Credit Risk function in Singapore. The job holder will provide active risk management of a portfolio inclusive of financial institutions and hedge fund counterparties across APAC. You will provide end-to-end credit risk management, from analysis, approval of internal ratings, monitoring, escalation, and resolution of risk events.
To be qualified, you must have circa 10 years of FI Credit exposure gained within an Investment Banking environment and have a strong knowledge of Financial Products which must include Repo, Rates, TRS, and FX derivatives.
For more information, please send your CV to Dominic at firstname.lastname@example.org or call +65 8799 6294 for a confidential discussion
To apply for this job email your details to email@example.com