Pricewaterhousecoopers Singapore

Risk Assurance, Risk and Capital Management- Manager/ Senior Manager

Singapore, Singapore
Competitive salary
03 May 2021
07 May 2021
Approved employers
Approved employer
Job role
Experience level
Line of Service

FS X-Sector

Conduct and Compliance

Management Level

Job Description & Summary
About PwC

A career at PwC is more than "just" a job. It's about being part of a purpose-led firm that builds trust in society and solve important problems. We help our clients to make informed decisions and operate effectively within them. At PwC, we are committed to making a difference for each other, our clients, and our community - by empowering you to be the best version of yourself and investing in your growth. You'll be able to develop as a leader, be well-connected, work in a great environment, explore our benefits and make a positive contribution.

With PwC, you'll ignite a meaningful career while being supported by a strong coaching and people-oriented culture, our Flex policies (Flex Space, Flex Dress and Flex Time), innovative learning and development programs (training programs, digital upscaling) as well as mobility opportunities. If you would like to be connected to like-minded individuals outside of work, we highly encourage you to be part of our people clubs and committees such as the Sports and Recreational Club, Toastmasters Club and more!

How will you value-add?

You will be a part of Risk, Regulatory and Compliance in Risk Assurance, and you will experience a dynamic and fast-paced working environment. From potential start-ups to multinational corporations in industries ranging from technology, oil and gas, pharmaceutical, gaming and retail amongst others, clients look to you for audit, regulatory, listing, private placement, corporate change and other business-related advice. Together we can build trust in society and solve important problems.

As a Senior Manager/ Manager, you'll work as part of a team of subject matter experts and extensive industry experience, helping our clients solve their complex business issues from strategy to execution. You will be involved in a variety of advisory engagements that focus on Risk and Capital Management for our banking/capital markets and corporate treasury clients. Specific responsibilities include but are not limited to:
  • Risk management reviews in the areas of market and liquidity and/or credit;
  • Quantitative modelling and valuations of financial instruments;
  • Transactions and Post Deal Services;
  • Regulatory and Forensic Reviews; and
  • Risk and Controls Solutions.

About You:
  • A Degree in additional quantitative science and/or banking/financial risk management qualifications (such as MSc Financial Engineering / Quantitative Science)
  • At least 5 to 7 years of relevant experience performing quantitative analysis, modelling and valuations of financial instruments/derivatives in accordance with prevailing accounting standards.
  • Experience across a number of risk topics, for example: Credit Risk, Market Risk, Liquidity Risk, Operational Risk, ICAAP, ALM.
  • Good understanding of Governance models for risk.
  • Proven client management skills and ability to build and develop networks and relationships
  • Ability to work independently and within a team environment
  • Strong written and verbal communication skills
  • A proven ability to operate in a supervisory capacity

*Only shortlisted candidates will be notified due to the high number of applicants for this role.

Education (if blank, degree and/or field of study not specified)
Degrees/Field of Study required:

Degrees/Field of Study preferred:

Certifications (if blank, certifications not specified)

Desired Languages (If blank, desired languages not specified)

Travel Requirements
Not Specified

Available for Work Visa Sponsorship?

Government Clearance Required?

Job Posting End Date

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