Ashford Benjamin are supporting an Investment Bank who are expanding their Market Risk function in Singapore. The jobholder will be a VP level professional and will be responsible for managing the risk exposures in an APAC wide position. The successful incumbent will monitor the risk positions primarily across Credit and Equities, with a secondary focus across Rates and FX, which will include regular dialogue with the traders to challenge positions and trading strategies. Furthermore, the job holder will assist in deep-dive portfolio reviews, PnL analysis and monitor VaR drivers, and will ensure the timely submission of financial risk reports. To be qualified for this opportunity, you must have at least 6 years of Market Risk experience and have strong knowledge of Credit and Equity products.
Please note – our client is only able to consider Singaporeans or Permanent Residents and are unable to sponsor an EP.
For more information on this opportunity or to discuss the risk market in general, please reach out at clim@ashford-benjamin.com or call +65 6277 8530 for more information.
To apply for this job email your details to clim@ashford-benjamin.com