Market Risk Governance
- Location
- Singapore
- Salary
- Excellent
- Posted
- 15 Aug 2018
- Closes
- 07 Sep 2018
- Ref
- 4340317
- Sector
- Accounting - Public practice
- Contract type
- Permanent
- Hours
- Full time
This role is to provide risk identification and assessment as a SME to identify and assess market risks throughout the bank. Provide key input into quarterly analytics to management and product aligned teams to inform them on evaluation of key market risk developments and conducting periodic reviews of adequate reflection of these risks in the business aligned risk assessments. Ideal candidate will have minimal 5 years of investment banking with key focus on market risk management. Good understanding of market risk issues in a global banking control environment,, including capital market products, irks management techniques and regulatory requirements (such as model risk, EC and RWA reporting and Basel III)
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