Associate, Market Risk Management

Morgan McKinley

  • Singapore
  • Permanent
  • Full-time
  • 1 month ago
  • Apply easily
Responsibilities
  • Monitoring and measurement of positions against the bank's limits
  • Analysis and calculation of independent valuation adjustments and reserves
  • Manage daily P&L, VaR and Risk report
  • Peform P&L analysis based on risk attributes
  • Ensure accurate booking of trades to enable efficient risk management and balance sheet valuation
  • Assist in ad-hoc system implementations and global projects as part of a global team deliverables
Requirements
  • Bachelor/Master's degree in Mathematics, Financial Engineering or another related field
  • Minimum 4 years of experience in Market Risk, preferably in Commodities / Derivative products
  • Sound knowledge of financial products and trading/booking systems
  • Strong analytical skills and good communication skill
  • Good working knowledge of MSOffice, VBA knowledge would be advantageous
Interested applicants please apply here with your updated CV

Morgan McKinley Pte Ltd, EA License No: 11C5502

Lee Boon Hou (Hagen), Registration No: R1870932

Morgan McKinley