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Derivatives Market Risk Manager., Singapore
- SG - Singapore
- Highly Competitive
- Full-Time Permanent
- Financial Services - Risk Management
- 21-04-08
Job Description
A top tier U.S. investment bank is looking to hire a Market Risk manager to work closely with the Asia front office management team to develop cutting edge analysis of performance and risk-return. Based on the interest rates and fixed income desk you will play a key role in pre-trade approvals, new product development, and working closely with both the desk and senior management manage risk methodology and limits.
The successful candidate must have
Excellent product control / market risk background (preferably derivatives)
Strong financed based educational background- MSc or equivalent degree
Good product knowledge of credit derivatives both exotic and vanilla
Ideally exposure to other asset classes
Strong VBA/ Excel and MS ACCESS skills
Great market awareness
Experience on VaR models and Stress Tests
Knowledge of analyzing the performance of investments (Hedge Funds)
This is a fantastic opportunity for candidates who would be looking to move to front office and work on the desk. Excellent remuneration is on offer to the right candidate.
Please reply to risk@selbyjennings.com
www.selbyjennings.com
The successful candidate must have
Excellent product control / market risk background (preferably derivatives)
Strong financed based educational background- MSc or equivalent degree
Good product knowledge of credit derivatives both exotic and vanilla
Ideally exposure to other asset classes
Strong VBA/ Excel and MS ACCESS skills
Great market awareness
Experience on VaR models and Stress Tests
Knowledge of analyzing the performance of investments (Hedge Funds)
This is a fantastic opportunity for candidates who would be looking to move to front office and work on the desk. Excellent remuneration is on offer to the right candidate.
Please reply to risk@selbyjennings.com
www.selbyjennings.com
- The Team
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