Market Risk Analyst (Asset Management)

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Salary : S$66000 - S$120000
Location : Central Region
Post Date :
Employment Type : Permanent
Job Order Number : JW9192472
Line of Business : Banking & Financial Services

Description :

The Company

Our client is a reputable asset management firm, with offices in Singapore, Hong Kong and UK.

The Role

Reporting to the Director of Risk, you will working closely with front office to analyse and understand the market risk exposures, mainly well versed in Equities, FX, and Fixed Income products. With your excellent understanding of trading and hedging strategies, you will monitor risk against pre-set risk limit, as well as preparing and analysing risk reports by explaining the trading positions/activities. You will also be assisting the team by analysing P&L reports by attributing the performance to the underlying risk factors.

Your Profile

The ideal candidate should have a quantitative person, with 2 to 6 years of experience in performing market risk functions. You should have prior experience in using VBA, SQL, and comfortable with number crunching duties in this role. You should be able to work independently with minimal supervision.

Apply Today

Please send your resume, in WORD format only and quote reference number Ref No JW9192472, by clicking the apply button. Please note that only short-listed candidates will be contacted.

Co. Registration no.: 200612189E | EA Licence no.: 07C5595 | EA Registration no.:R1549646

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No.1 Raffles Place #27-02
One Raffles Place Tower 1
Phone : +65 6533 7778

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