Project Management : Assist the team leader to gather and analyze reporting requirements, conduct gap analysis, prioritize action measures, manage project timelines, and ensure on-time delivery
Collaboration : Engage and work closely with key stakeholders including Treasury, Market & Liquidity Risk Management and IT on daily basis to communicate and resolve issues pertaining to market & liquidity risk reporting and valuation systems
Communication : Provide clear and effective communication on key deliverables to stakeholders, ensuring deliverables are well understood and potential concerns are fully addressed on a timely basis
Stakeholder Liaison : Assist the team leader to be the primary point of contact with all stakeholders
Support new initiatives such as setup of new trading desks and new trading products, ensuring that all relevant reporting requirements are met
Provide training to risk management colleagues, including from APAC offices, on risk reporting requirements
Prepare meeting materials, enhance reporting templates, review policies and procedures, facilitate workshops and meetings with stakeholders
Job Requirements
Degree in Banking / Risk Management / Business or equivalent
Strong project management and stakeholder management skills
Good knowledge of Market Risk Management (trading and banking book), regulatory requirements and industry standards
Good understanding of FRTB, IRRBB, ICAAP, stress testing etc
Proficient in MS Office Tools, well versed in data management skills using Excel and VBA. Python, Tableau knowledge will be advantageous
Minimum 5 years of experience in Risk Management and Project Management
Any risk management-related certification (e.g. FRM, PRM, SCR) will be advantageous
Strong verbal and written communication skills in English
Proactive, resourceful and able to think and act strategically and tactfully
Ability to inspire others, culturally sensitive, good team player
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Market Liquidity And • Singapore, Pedra Branca, Singapore
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