Tier 1 Global Investment Bank is seeking talented Front Office Market Risk Managers to manage trading risk for cross asset portfolio. The candidate will work y with traders to assist them on pre-trade clearing.
Job Scope:
- Monitor and analyse market risk movements for APAC region
- Liaise with traders to identify risk levels and trade limits
- Review and implement trading risk strategies
Ideal Candidate:
- 4-7 years of market risk analysis experience in a reputable Financial Instituition
- Minimum degree in Economics/Finance or other quantitative subjects from a reputable instituition
- Experience in working closely with traders
- Ability to work in a fast paced environment
- Strong critical thinking
- Cross asset knowledge (FX, IR, Credit)
- Outspoken and confident
Please apply to singapore@selbyjennings.com or call +65 6818 9110
Type: Full-time
Location: Singapore
Category: Risk Jobs
Apply Email: Singapore@selbyjennings.com