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Market Risk Manager | Commodities | Singapore

  • Job type: Permanent
  • Location: Singapore
  • Salary: $10000 - $150000 per annum, Benefits: Attractive Bonuses & Benefits
  • Job reference: NAMNRT
  • Sector: Banking and Finance, Risk Management, Selby Jennings
  • Date posted: 11/08/2017
Our client is a leading International Commodities house with strong presence across Asia Pacific, and we are hiring for a Market Risk Manager role to be based in Singapore. This is a new Market Risk hire as part of expansion within the Asia business. 

Our ideal candidate for this Market Risk role should have at least 7 years experience in Market Risk, Risk Analysis, Middle Office, Product Control, Trading, Market Analysis or a related role. Market Risk candidates who have experience implementing Risk processes and Risk frameworks will have an advantage. 

The main responsibilities of the Market Risk Manager role: 
  • Market Risk Management and oversee VaR calculations Risk limits monitoring
  • Risk & Position Reporting for the business 
  • Analyse Risk Exposure
  • Oversee MTM and Profit and Loss (P&L) matters for the business
  • Ensure all market price risk is captured and analysed
  • Monitor and analyse hedging and trading positions; work with the Traders on position reporting
  • Support the Traders on all Physical and Paper Traders
  • Handle Reconciliation and data analysis
  • Analyse market trends and do quantitative and qualitative analysis on the Oil and Energy products

This is an exciting chance to join an expanding and reputable firm as they add on to their Middle Office and Risk team for 2017. All interested applicants, please send your applications to us or call Natasha at +65 6589 4410 for more information.

For more information, please visit http://www.selbyjennings.com/

EA license number: 16S8194

Registration No: R1104996

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