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Job Description
Job Title Financial Risk Mgt - Director
Ref. No. 2
Location Singapore
Closing Date 19-11-2013
Job Description

  • Thorough understanding of the market risk, liquidity risk, asset liability management and treasury / markets products across asset classes
  • Sound knowledge of Base l, II and Base l, III accords and related areas
  • Deep understanding of Spot and Derivative markets operations for fixed income, credit, equities, interest rate, commodities and foreign exchange products, risk management (hedging strategies) and valuation aspects of the same
  • Understanding of Financial Modeling and Econometrics
  • Having the ability to deliver to an Integrated Risk Management framework
  • Being responsible for business generation and leading engagements
  • Being a Subject Matter Expert on market risk, liquidity risk, and asset liability management
  • Developing and implementing strategies aligned with business goals
  • Being an expert on derivative contract reviews and valuation of the contracts.

  • Job Requirement
  • Possess a post graduate with 11 - 15 years of experience in banks, consulting firms, rating agencies or analytical software companies. Candidates with CFA, PRM/FRM qualifications would be an added advantage.
  • Have minimum 5 years of relevant experience in market risk management. Prior experience in a leadership role in a risk discipline is desirable, in particular related to delivering risk advisory assignments
  • Have a strong ability to map client business requirements and convert the same to a viable business proposition.
  • Have deep knowledge of local and global financial markets.
  • Have a good understanding of derivatives and structured products.
  • Be familiar of problem areas in the business and various macro and micro economic factors impacting the operations of the entity.
  • Be willing to travel within the ASEAN region for project execution is essential.

  • Job Type Permanent