Banking & Financial Services

VP - Market Risk

Date Added: 20/04/2017
Consultant: Jeremy Koh
Stable and Growing Bank
Excellent Progression
Excellent Career Prospects

This premier bank has a strong foot-print in Asia and is well-capitalized to support further growth in the region. It is recruiting a market risk controller.

You will be responsible for identifying, measuring, analyzing and reporting all material risk in the area of market risk and liquidity risks You will monitor P&L stop loss limits, VaR utilizations, FX limits and investigate Off-Market deals by Treasury, and liaising with dealers to better understand their strategy. You will be responsible for the process of approval of new or changed products and ensure that the necessary risk analyses are performed. You will ensure that risk analysis is performed for systems and essential processes, on country level regularly. You will prepare review reports, identifying critical risks with appropriate recommendations.

Degree qualified, you possess at least 8 years of relevant experience in market risk of a financial services institution. With excellent communication and presentation skills, both written and verbal, you are a good team player with strong inter-personal skills and able to influence across all levels of staff. You are self-motivated, independent with high level of integrity and resourcefulness, creative, well organized and detail oriented, able to work under pressure and multi-task.

To apply, please submit your resume to Jeremy at, quoting the job title and reference number JK 11299. Due to high volume of applications, only shortlisted candidates are notified.

R111 3423
License No: 16S8060

Type of Work: Permanent

Region: Singapore

Licence No: 16S8060

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