about the company
Established for over 70 years, the Client is a leading foreign bank offering a full suite of banking services to customers worldwide. They believe in grooming their employees to become the best at what they do, and offer internal mobility opportunities.
...
about the role
- Responsible for risk reporting, monitoring and analytics of Market Risk, ALM Risk and Credit Risk
- Perform Market Risk and Product Control duties for Group Treasury
- Ensure prompt and accurate delivery of monthly, weekly and daily Risk and P&L reports
- Perform Market Risk control and analysis which includes monitoring positions and risks against limits granted
- Perform monthly and periodic reporting for Group Treasury activities
- Prepare regulatory submissions and internal risk reports
- Perform balance sheet risk forecast and risk simulation
- Liaise with as well as attend to queries from key stakeholders
- Participate in internal projects
skills and experience required
- Minimum Degree in a relevant discipline
- At least 1 year of work experience in Market Risk Management and/or Product Control
- Product knowledge in Treasury, Fixed Income and Derivatives
- Excellent communications and critical thinking skills
- Meticulous and analytical
- Advanced Excel skills
If you would like to find out more about this role, please click apply below. Alternatively please connect with Lynda Tan at https://www.linkedin.com/in/lynda-tan/
EA: 94C3609 / R1223887
show more
about the company
Established for over 70 years, the Client is a leading foreign bank offering a full suite of banking services to customers worldwide. They believe in grooming their employees to become the best at what they do, and offer internal mobility opportunities.
about the role
- Responsible for risk reporting, monitoring and analytics of Market Risk, ALM Risk and Credit Risk
- Perform Market Risk and Product Control duties for Group Treasury
- Ensure prompt and accurate delivery of monthly, weekly and daily Risk and P&L reports
- Perform Market Risk control and analysis which includes monitoring positions and risks against limits granted
- Perform monthly and periodic reporting for Group Treasury activities
- Prepare regulatory submissions and internal risk reports
- Perform balance sheet risk forecast and risk simulation
- Liaise with as well as attend to queries from key stakeholders
- Participate in internal projects
skills and experience required
- Minimum Degree in a relevant discipline
- At least 1 year of work experience in Market Risk Management and/or Product Control
- Product knowledge in Treasury, Fixed Income and Derivatives
- Excellent communications and critical thinking skills
- Meticulous and analytical
- Advanced Excel skills
...
If you would like to find out more about this role, please click apply below. Alternatively please connect with Lynda Tan at https://www.linkedin.com/in/lynda-tan/
EA: 94C3609 / R1223887
show more