Risk Analyst

S$5-5.1K[Monthly]
On-site - CentralFull-time1-3 Yrs ExpBachelor
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This job is open to Singaporean/PR

Job Description

Analytical Skills

Description

Job Description:

We are seeking a Market Risk Analyst who thrives in a dynamic, fast-paced environment and is adept at managing risk associated with commodity trading, particularly in FX and Macro instruments. The ideal candidate will have a strong analytical background and the ability to develop risk-tracking mechanisms from the ground up on the FX and Macro instruments.


Key Responsibilities:

  • Develop, implement, and maintain robust risk management frameworks and policies to identify, measure, and manage market risk effectively.
  • Conduct thorough market analysis to understand and forecast potential impacts on the trading portfolio, focusing on FX and Macro instruments.
  • Create and manage bespoke risk reporting tools and methodologies
  • Collaborate with trading and analytics teams to develop risk mitigation strategies and limit structures.
  • Perform stress testing and scenario analysis to assess potential risk exposure under various market conditions.
  • Ensure compliance with regulatory requirements and internal risk limits.
  • Provide insights and recommendations to senior management based on risk assessments and market analysis.
  • Stay abreast of market trends and regulatory changes that may impact risk exposure.


Qualifications:

  • Bachelor's or master's degree in Finance, Economics, Mathematics, or a related field.
  • Proven experience in market risk management within a commodity trading or financial services environment.
  • Strong quantitative and analytical skills, with the ability to develop and implement risk measurement models.
  • Excellent understanding of FX and Macro instruments and markets.
  • Proficient in programming languages (e.g., Python, ) for developing risk management tools and analytics.
  • Ability to work independently and develop risk-tracking and management processes
  • Strong communication skills, with the ability to convey complex risk scenarios to non-specialist audiences.
  • Detail-oriented, with a high degree of accuracy and the ability to work under pressure.

Requirements

Job Description:

We are seeking a Market Risk Analyst who thrives in a dynamic, fast-paced environment and is adept at managing risk associated with commodity trading, particularly in FX and Macro instruments. The ideal candidate will have a strong analytical background and the ability to develop risk-tracking mechanisms from the ground up on the FX and Macro instruments.


Key Responsibilities:

  • Develop, implement, and maintain robust risk management frameworks and policies to identify, measure, and manage market risk effectively.
  • Conduct thorough market analysis to understand and forecast potential impacts on the trading portfolio, focusing on FX and Macro instruments.
  • Create and manage bespoke risk reporting tools and methodologies
  • Collaborate with trading and analytics teams to develop risk mitigation strategies and limit structures.
  • Perform stress testing and scenario analysis to assess potential risk exposure under various market conditions.
  • Ensure compliance with regulatory requirements and internal risk limits.
  • Provide insights and recommendations to senior management based on risk assessments and market analysis.
  • Stay abreast of market trends and regulatory changes that may impact risk exposure.


Qualifications:

  • Bachelor's or master's degree in Finance, Economics, Mathematics, or a related field.
  • Proven experience in market risk management within a commodity trading or financial services environment.
  • Strong quantitative and analytical skills, with the ability to develop and implement risk measurement models.
  • Excellent understanding of FX and Macro instruments and markets.
  • Proficient in programming languages (e.g., Python, ) for developing risk management tools and analytics.
  • Ability to work independently and develop risk-tracking and management processes
  • Strong communication skills, with the ability to convey complex risk scenarios to non-specialist audiences.
  • Detail-oriented, with a high degree of accuracy and the ability to work under pressure.

nitin jain100% Response rate

treasury head Agrocorp international Pte ltd

Active this month

Working Location

10 Anson Rd, International Plaza, Singapore 079903 32-02

Benefits

  • Bonuses

    Performance Bonus

Posted on 06 May 2024

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