1 year contract market risk analyst - foreign bank in Singapore

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job details

posted
location
singapore
specialism
banking & financial services
job type
contract
reference number
90M0349028_1527839506
contact
lynda tan, randstad
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job description

about the company
Established for over 70 years, the Client is a leading foreign bank offering 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 team

You will be part of a team that is responsible for daily control and assessment of market risk as well as Profit & Loss (P&L) of the Financial Markets.


about the role

  • Ensure prompt and accurate delivery of daily Risk and P&L reports
  • Perform Market Risk control and analysis which includes monitoring positions and risks of Financial Markets against limits granted
  • Review and verify VaR backtestng results
  • Analyse, interpret and understand valuation methods as well as P&L results from various Derivatives and FX products
  • Participate in internal projects
  • Assist Supervisor with review and approval of one-off, new product proposal and limit requests

skills and experience required

  • Minimum Degree
  • At least 1 year of Market Risk experience
  • Knowledge in FX, Rates and Derivative products
  • Excellent communications and critical thinking skills
  • Meticulous and analytical
  • Advanced Excel skills
  • Competency in programming skills i.e. Excel, Macros, VBA, SQL would be an added advantage

If you would like to find out more about this role, please click apply below. Alternatively please contact Lynda Tan at 6510 7413.

EA: 94C3609 / R1223887



skills

market risk, market risk management, valuation, product control

qualification

Degree

educational requirements

Bachelor Degree