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VP, Market risk-Fixed income, Singapore, Base Salary - $120,000 - $150,000SGD + bonus & additional benefits
A globally renowned investment bank are seeking to add to their senior management team with a driven and commercially focussed market risk manager.
A top tier investment bank are looking for a senior manager to help develop the fixed income desks strategy for 2012 and beyond. Reporting directly to the regional head of risk you and other senior managers will play an important role in how the desk performs in the coming year. Already regarded as the best in industry, the onus will be on maintaining this reputation through constant scrutiny of current processes and internal development of junior team members. This team is hiring at the senior level because the successful candidate for this position will be the senior manager and focal point for the growth/profitability of the team going forward.
The market risk manager will have the following responsibilities: -Good knowledge on market risk management concepts, methodologies and frameworks acquired through a role/s in product control, market risk or related areas, -Implement change on process to ensure maintained high performance, -Knowledge in Specific Risk VaR and Incremental Risk Charge, -Experience in developing historical and scenario stress tests for illiquid asset class, -Perform VaR backtesting and documentation, -Assess market risk and issuer limits.
To be successful in this role you will more than likely have the following skills: -Good knowledge of credit trading markets with an emphasis on distressed debt and loan trading, -Detailed understanding of VaR, -Degree holder. MFE, CFA or FRM would be advantageous, -Proficiency in Microsoft Excel and Access, -Comfortable leading a team and assisting in developing junior members, -Excellent communication skills.
Please send all applications by mail.
Apply by email. Please do not modify the subject of the mail or your application will not be considered.
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