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The Role: My Client is a global Commodities Trading House and we are looking for a Market Risk Analyst to join the business in Singapore. We are looking for Risk candidates with an interest in grow...
The Role: My Client is a leading Asset Management firm and we are recruiting for an Investment Risk Analyst to join the business in Singapore. This is a rapidly growing organization with proven bra...
Role Summary: We would like to speak to technically sound Risk, Compliance & Assurance professionals who's great with Excel data! A promising role is now available, to assist the Enterprise Compl...
Role Purpose A new team is being created in the centralised Risk Analytics Business Unit, to support the Credit Risk Modelling for a Tier-1 Consumer Bank and all its affilicated brands. Major A...
The Role & Organisation This is a newly created role in this Tier-1 Financial Insititutional's Risk Analytics & Insights Business Unit with a focus on the management of data assets. In this role ...
The Role: My Client is a Global Oil Trading Firm we are looking for a Credit Risk Manager to join the team in Singapore. Reporting to the CRO, you will be given the opportunity to work with global ...
The Role: My Client is a leading Securities and Trading Firm looking to grow their Risk team due to strong expansion plans. We are looking for junior Risk candidates who are keen to grow their care...
Role Summary: The technical role is responsible for the accuracy, integrity and timely provision of credit risk insights and reporting as it relates to the broader Consumer Banking, Business Bank...
The Role: My Client is a leading Investment Management firm and we are looking for a Risk Manager to join the team in Hong Kong. This is a newly created role and we are looking for seasoned Asset M...
The Role: My client, a Tier-1 Australian Bank is looking for a Credit Risk Modeller to build and enhance existing capabilities through research into new methodologies. With your eye for detail and ...
The Role This role sits within a vibrant and collaborative team of Model Governance professionals, with the objective to establish and maintain a robust credit risk model governance framework, and ...
The Program: The objective of the APS 221 Large Exposures program is to update the bank's existing large exposure framework to align with the Basel large exposures framework (with several adjustm...