Vp Market Risk, Global Bank - Singapore - WilsonHCG Singapore
Description
VP Market Risk Management
A leading global bank is seeking an experienced professional to join its market risk management team as a Vice President.
About the Role
- Monitor and analyze Asia risk positions and portfolio changes on a daily basis.
- Collaborate with traders to review positions and implement limits as necessary.
- Conduct and review scenario analysis, updating as required.
- Track VaR drivers and their impact on RWA optimization.
- Stay up-to-date with APAC economic, fixed income, and FX market news and price movements.
- Monitor market activity, review positions taken by risk takers, and communicate with senior management.
Requirements
- Bachelor's degree with 8+ years of experience in market risk management.
- Derivative products experience, including FX/Rates vanilla options and structured products.
About the Company
A global bank with a strong presence in Singapore, offering competitive benefits and a dynamic work environment.
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