Apply on
Original
Simplified
ABOUT THE COMPANY
We are working with a global trading firm that is a leading market maker.
They are looking for a Risk Manager to join their Middle Office team in Singapore.
KEY RESPONSIBILITIES
- Responsible for executing and reporting daily P&L, ensuring the accuracy and ownership of the trading balance sheet and valuation of trading positions
- Ensuring trades and positions are accurately reconciled with clearers and brokers, addressing and resolving any discrepancies.
- Leading valuation control process by identifying, escalating, and managing risks in products and markets.
- Collaborating with traders and stakeholders to ensure thorough valuation verification for new business initiatives.
- Capable of understanding and articulating desk trading strategies.
- Act as the primary point of contact for traders and key internal and external stakeholders for escalations.
KEY COMPETENCIES/ SKILL SETS
- University degree in Finance, Commerce, Business
- Certifications in Financial Instruments, Risk Management, CFA or similar would be an advantage
- At least 5 years of experience in Risk/Product Control/Middle Office from a trading firm and/or bank
- Expertise across all asset classes (derivatives i.e. index and equity options, forwards and futures and warrants)
- Strong programming skills i.e. SQL, Python, Excel, VBA, BI & other data cleansing tools
If you believe you fit the requirements for the role, please apply to this role or send an email to [email protected] with your latest CV. Note: We regret that only shortlisted candidates will be notified.
Data provided is for recruitment purposes only. Business License Number: 200611680D. EA Registration Number: R23113442
Similar Jobs