Job Details

Competitive Salary
Job Type
Weiyun Teo
Contact email
Email Weiyun
18 days ago
The Role:
My Client is a leading Investment Bank and we are looking for a Market and Liquidity Risk Director to join the team in Singapore. You will be given the opportunity to spearhead the Market and Liquidity Risk policies, and work with the C level stakeholders in Singapore.

  • Develop and implement Market and Liquidity Risk management strategies across the business
  • Mitigate Risk exposures and ensure limits are well monitored
  • Collaborate with Front office other stakeholders to ensure risk management practices align with investment objectives.
  • Evaluate and enhance decision via Market and Liquidity Risk methodologies
  • Ensure Risk indicators such as VaR and stress testings are accurate
  • Prepare comprehensive Market and Liquidity Risk reports for internal and external stakeholders.
  • Provide recommendations to senior management regarding risk mitigation strategies and performance improvement opportunities
 You must:
  • A bachelors degree in a reputable university
  • 10 years of experience in a Market and Liquidity Risk role – ideally in an Investment Bank
  • Strong VaR / Stress testing / quantitative skills etc
  • Familiarity with FICC and Global Markets business.
  • Able to influence stakeholders and comfortable in a boutique setup.

Take charge of this opportunity to welcome a new career challenge in 2024

EA Personnel No R1985201
BeathChapman Pte Ltd
Licence No 16S8112