Reset Risk Specialist - Singapore - S&P Global
Description
Summary:
FX / Rates Trading Risk Specialist, Reset
For this role, previous experience trading interest rate and/or FX products is essential. Hands-on experience in options pricing and risk management would be ideal.
RESET delivers innovative solutions for the challenges of managing fixing and strike risk in trading portfolios.
We focus on second order risks that result from the underlying instruments traded and the accumulation of imbalanced exposures over time.
Our specialists have direct trading experience in multiple markets, allowing us to help traders solve a wide variety of needs beyond simply accessing a very deep, global liquidity pool.
RESET currently offers matching services in Rates (FRA/SPS, Inflation and Basis Swaps) and FX (NDF, FX Options).Principal accountabilities
- Risk specialist role responsible for achieving revenue targets by maximizing participation in Reset runs actively guide support sales and operations team members to optimize Reset efficiency and results
- Curve creation for Reset runs in OTC rates and fx products
- Reviewing and actively managing risk parameters for conservative and effective run results
- Responsible for final signoff of runs prior to execution
- Work closely with sales team to build strong longterm relationships with customers, and potential customers, with a particular focus on engaging with clients on technical risk parameter discussions
- Support and lead the development and specification of new initiatives, broadening revenue streams via new product development and rollout
- Assist Development and Project Managers define expansion of Reset functionality
- Proactively seek client feedback to assist in service development and enhancement
- Regular verbal updates, progress reports to management
- Works collaboratively with Shared Services functions (Technology, Marketing, Clearing, Finance.) as well as other Business lines to develop coordinated strategies, where appropriate.
- Applies extensive knowledge of product/services when representing Reset and CME Group to internal and external audiences (e.g. current clients, target clients, conferences, etc).
- Relationship management of existing client base with a focus on maximizing client participation and experience in Reset runs to grow revenues
- Develop and prioritize a targeted pipeline of new client opportunities
- Manages the communication flow between client and Operations before/during/after Reset runs to ensure effective client results and experience
- Curve creation for Reset runs
- Engaging with clients on technical risk parameter discussions if and when needed
- Responsible for final signoff of runs prior to execution
- Reviewing and actively managing risk parameters for conservative and effective run results
- Leads expansion of services to new products and asset classes
- Previous experience in trading and risk management of interest rate and FX products essential
- Handson experience in options pricing and risk management ideal
- Ability to work with sales team to market and communicate with clients and various institutions
- Strong general financial product and market knowledge across multiassets in FX, Rates and other financial markets
- Solid understanding of market pricing across multiproduct environment essential
- Ability to build bespoke market pricing tools in Excel ideal
- Experience with Bloomberg functionality ideal
- Understand and anticipate changing business needs as a result of evolving risk and regulatory environments
- Equal Opportunity Employer
Job ID:
OSTTRA_27823
Posted On:
Location:
Singapore, Singapore
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