int(5400)
Singapore

VP – Market Risk Management (IB / WM)

This role reports directly to the Group Head of Risk Management. Key role in developing, maintaining, enhancing, and executing the market risk and stress testing models.

Please contact Vanessa Leonhardt on +65 6850 7206 or email your cv directly in word format with job reference no. Jo0000004672 to banking-SG@theedgepartnership.com

Please note that due to the high number of applications only shortlisted candidates will be contacted. If you do not hear from us in the next 5 business days we regret to inform you that your application for this position was unsuccessful.

EA Licence : 16S8131

Recruiter Licence : R1105334

Apply for this Job

Key responsibilities

  • Responsible for development of the market risk and stress testing platform
  • Develop and implement methodologies covering haircut, margin requirement and netting rules within the Wealth Management Business.
  • Liaise with Risk Methodology Group to validate proposed risk methodologies.
  • Back Up the team on the monitoring of the FX Margin trading activities including exception trade approval
  • Identify opportunities to streamline processes and increase operational efficiency & develop solutions.

 

Role requirements

  • Degree qualified in a numerate discipline (e.g. statistics, economics, mathematics or financial engineering)
  • Strong market risk and stress testing skills is desirable
  • Strong understanding of financial products and services
  • Good interpersonal, communication skills.