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Risk Manager, Collateral Risk Management (AVP / VP)

Risk Manager, Collateral Risk Management (AVP / VP)

OCBC companySingapore, Singapore, Singapore
1 day ago
Job description

You may choose to display a cookie banner on the external site. You must specify the message in the cookie banner and may add a link to a relevant policy. If you are unfamiliar with these requirements, please seek the advice of legal counsel.You are about to enter websites controlled or offered by third parties. OCBC hereby disclaims liability for any information, materials, products or services posted or offered at any of these third party web-sites. By creating a link to these third party web-sites, OCBC does not endorse or recommend any products or services offered or information contained on those web-sites or information fed by these third parties nor is OCBC liable for any failure of products or services offered or advertised at any of these third party web-sites. OCBC Group shall in no event be liable for any damages, loss or expense including without limitation, direct, indirect, special, or consequential damage, or economic loss arising from or in connection with any use of or access to any other website linked to this website, any system, server or connection failure, error, omission, interruption, delay in transmission, or computer virus and any services, products, information, data, software or other material obtained from this website or from any other website linked to this website. Any hyperlinks to any other websites are not an endorsement or verification of such websites and such websites should only be accessed at the user’s own risks. This exclusion clause shall take effect to the fullest extent permitted by law.You further consent to Oversea-Chinese Banking Corporation Limited, its related corporations (collectively, the "OCBC Group"), and their respective business partners and agents (collectively, the “OCBC Representatives”) collecting, using and disclosing your personal data for purposes reasonably required by the OCBC Group and the OCBC Representatives to enable them to process your employment application and assess your suitability for the position which you are applying for. Such purposes are set out in a Data Protection Policy, which is accessible at www.ocbc.com / policies or available on request and which you confirm you have read and understood.

  • Bank of Singapore opens doors to new opportunities.
  • At Bank of Singapore, we are constantly on the lookout for exceptional individuals to join our team. We promote a culture of openness, teamwork and fairness. Most importantly, we invest in our people through our programmes that develop them on both professional and personal levels. Besides attractive remuneration packages, we offer non-financial benefits and opportunities to develop your potential within OCBC Group’s global network of subsidiaries and offices. If you have passion, drive and the will to succeed, rise to the challenge today!# Collateral Risk Management Team oversees the management of market risks arising from collateral received in connection with BoS client’s borrowing against security and derivative trading activities. The team’s objective is to manage risk efficiently and effectively so as to protect the bank’s financial returns and sustain business growth. The team is responsible for both the development of the methodology, parametric approach, policy and procedures as well as the operationalization, implementation and day to day risk monitoring, action taking and business support.
  • Roles and Responsibilities :
  • Participate in conducting research, review and development of the quantitative model and qualitative assessment framework for measuring and mitigating market risk in collateralised lending and margin trading.
  • Perform data analysis, exposure quantification, risk factor mapping, scenario, sensitivity and stress analysis studies
  • Contribute to the design specification, logic derivation, results verification exercises for market risk functionalities implemented in the bank’s internal and external digital systems across various infrastructure and platforms.
  • Conduct periodic review of the relevant limit and control, carry out documentation and rationalization of the mitigation actions in adherence with the bank’s internal policy, procedures and guidelines.
  • Support new products and businesses development. Evaluate and formulate viable approach to help widen business coverage and product scope while ensuring risk appetite under control.#
  • Requirements :
  • University degree in a quantitative discipline (e.g. Mathematics, Statistics, Financial Engineering etc.)
  • Professional qualification such as CFA, FRM, MFE, CQF etc is desirable
  • 7 years or above relevant experience in market risk
  • Advanced knowledge of key products of capital markets. Understand the main risk drivers and factors. Familiar with valuation of the financial instruments and derivatives.
  • Advance data analysis skills. Programming in Python, SQL is expected.
  • Analytical and independent thinker with good written and verbal communication skills especially in explaining complex technical subjects in a simple / pragmatic manner to business and senior management.
  • Strong curiosity of the field, proactively seeking opportunity of learning and progress.
  • Strong team player with good communication, interpersonal and organizational skills

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Risk Manager • Singapore, Singapore, Singapore

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