Global Head of Product Risks

STANDARD CHARTERED BANK (SINGAPORE) LIMITED

Singapore, Singapore
Competitive salary; not specified; core bank fundi...
Hybrid
10+ years treasury products experience
Fx derivatives and margin trading expertise
Margining, leverage, and concentration risk management
Standard Chartered Bank is seeking a Global Head of Product Risks with extensive experience in treasury products and derivatives, particularly in FX and margin trading. The ideal candidate will be responsible for overseeing product-specific risks and will play a pivotal role in shaping risk strategies while fostering collaboration across departments

Job Summary

  • This Executive Director-level role is accountable for the effective oversight and control of product-specific risks arising from the global distribution of treasury products.
  • The successful candidate will provide authoritative challenge on margining methodologies, stress assumptions, and concentration frameworks with particular depth in FX derivatives.
  • Standard Chartered offers a competitive salary, flexible working options, and a comprehensive benefits package including 30 days minimum time-off and mental health support.

Matching Summary

Match Score: 85

Standard Chartered Bank is seeking a Global Head of Product Risks with extensive experience in treasury products and derivatives, particularly in FX and margin trading. The ideal candidate will be responsible for overseeing product-specific risks and will play a pivotal role in shaping risk strategies while fostering collaboration across departments.

Salary

Competitive salary; Not specified; Core bank funding for retirement savings, medical and life insurance, flexible working options

Skills & Requirements

Must-have

  • 10+ years treasury products experience
  • FX derivatives and margin trading expertise
  • Margining, leverage, and concentration risk management
  • Executive-level risk oversight and challenge
  • Stress testing and scenario design capabilities

Nice-to-have

  • CACS 1&2 certification preferred
  • Strong stakeholder influence and trust building
  • Experience with MarginMan technology ecosystem
  • Ability to lead during market stress events
  • Strategic thinking across global regions

Key Requirements

  • Bachelor's degree required
  • 10+ years experience in treasury products and derivatives
  • CACS 1&2 certification preferred

Work Rights

Not specified

Tailored Resume

Cover Letter