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Jobs / Risk Analyst in Singapore
13 hours ago
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Nomura·13 hours ago
13 hours ago

Singapore Associate, Market Risk Manager (Singapore) 018983

SingaporeMid · 5-10 years

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About this role

Company overview

Nomura is a global financial services group with an integrated network spanning approximately 30 countries and regions. By connecting markets East & West, Nomura services the needs of individuals, institutions, corporates and governments through its three business divisions: Wealth Management, Investment Management, and Wholesale (Global Markets and Investment Banking). Founded in 1925, the firm is built on a tradition of disciplined entrepreneurship, serving clients with creative solutions and considered thought leadership. For further information about Nomura, visit www.nomura.com

 

Job Title:  Market Risk Manager
Corporate Title: Associate
Department: Risk
Location: Singapore
Licensed Role: No

Role Overview:
The management of Market risk is a key business priority for Nomura and is vital to the successful delivery of the firm's strategy. The AeJ Market risk team has responsibility for the development of Market risk management for the region, including:
•    Developing the Market risk strategy and governance framework in line with the Global Market risk management and regulatory framework
•    Establishing a set of Market risk services to support the business areas' management of Market risk
•    Developing the tools and templates to allow the effective collection, review and use of Market risk information
•    Through a team of Market Risk Managers, effectively working with different stakeholders across the business to embed a Market risk culture throughout the organisation
•    Supporting the Senior Market Risk Managers in the performance of their responsibilities

Role Description:
Market Risk Management is looking to hire a Market Risk Manager to participate in covering Singapore based business in AEJ Macro, CVA and Treasury. The risk analyst will also be responsible for overseeing day to day market risk management governance processes and covering Singapore regulatory reporting as well as maintaining market risk oversight on Singapore legal entities. The successful candidate will gain experience across AEJ Rates, FX and Credit as well as core G10 currencies products and markets.

•    Support the senior regional risk managers in terms of their daily risk monitoring
•    Daily review of key market news and positions taken and key changes
•    Liaise regularly with Front Office trading and structuring in the implementation of risk controls and ensure that issues identified (limit breach, incomplete or inadequate risk monitoring, system problems) are addressed in timely manner.
•    Ensure that daily risk and limit reports are produced timely to trading, senior management and regulatory stakeholders
•    Ensure VAR and capital components are reviewed, commented and signed off daily.
•    Review of stress test scenarios, results and provide commentaries of key drivers
•    Review market risk regulatory reporting and stress testing results submitted to Singapore regulators
•    Work closely and manage relationships with groups outside of Market Risk, such as Credit Risk, Research, Quantitative Research, Finance, Product Control, Middle Office, Market Risk Technology, Regulatory, and Internal Audit.


Skills, experience, qualifications, and knowledge required:

•    Minimum 3+ years of experience in market risk function
•    Demonstrated experience monitoring or analysing Macro (FX and rates) products
•    Practical experience market risk processes (e.g. VAR limits, stress testing)
•    Bachelor or Post graduate degree in a quantitative field preferred 
•    Knowledgeable about developed and AEJ emerging markets
•    Ability to work autonomously and willingness to get involved and take responsibility for area covered.
•    Proficiency in Excel, VBA, python programing preferred
•    Strong analytical, communication and independent problem solving skills and able to deliver under tight deadlines.
•    Energetic, independent with aptitude to learn and improve processes.
•    Strong team player who can interact and work well with front office, senior risk managers and other control functions


Nomura Leadership Behaviours

Explore Insights & Vision: Identify the underlying causes of problems faced by you or your team and define a clear vision and direction for the future.

Making Strategic Decisions: Evaluate all the options for resolving the problems and effectively prioritize actions or recommendations.

Inspire Entrepreneurship in People: Inspire team members through effective communication of ideas and motivate them to actively enhance productivity.

Elevate Organizational Capability: Engage proactively in professional development and enhance team productivity through the promotion of knowledge sharing. 

Inclusion: Respect DEI, foster a culture of psychological safety in the workplace and cultivate a "Risk Culture" (Challenge, Escalate and Respect).

Diversity Statement

Nomura is committed to an employment policy of equal opportunities, and is fundamentally opposed to any less favourable treatment accorded to existing or potential members of staff on the grounds of race, creed, colour, nationality, disability, marital status, pregnancy, gender or sexual orientation.

 

DISCLAIMER:  This Job Description is for reference only, and whilst this is intended to be an accurate reflection of the current job, it is not necessarily an exhaustive list of all responsibilities, duties, skills, efforts, requirements or working conditions associated with the job.  The management reserves the right to revise the job and may, at his or her discretion, assign or reassign duties and responsibilities to this job at any time. 

 

Nomura is an Equal Opportunity Employer

H1B sponsor likely
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