Position Description

Risk Management Manager (Permanent | Corporate Banking)
Job Code 23770
Division GMP TECHNOLOGIES (S) PTE LTD (EA Licence:11C3793)
Job Placement Location Singapore
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Responsibilities:

  • To monitor and control market risk, such as FX exposure, bond price, interest fluctuation, hedge effectiveness and etc
  • To assist in monitoring and control liquidity risk, complete the liquidity stress test and related analysis report.
  • To manage the process for developing and enhancing risk policies and procedures, risk indicators, risk limits and approval authorities
  • To perform ad-hoc assignments assigned by the management

Requirements:

  • Possess degree with at least 3 years of experience in risk management / market risk / liquidity risk / money market trader in banking industry
  • Candidates with certificates FRM, CFA, CPA etc will be an advantage
  • Effectively bilingual (to review credit document in both English & Chinese due to Head Office requirement in China)
  • Proficient in Bloomberg, MS Excel, PowerPoint, and Word
  • Only Singaporeans

 

Please state your availability, current and expected salary in the resume.

We regret that only shortlisted candidates will be notified.                

GMP Technologies (S) Pte Ltd | EA Licence: 11C3793 | Paris Low | Registration No: R22106109

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