Associate, Market Risk Manager (singapore)

Nomura International PLC

Singapore, Singapore
On-site
Market risk management
Risk monitoring and analysis
Var and limit reporting
Nomura International PLC is seeking an Associate Market Risk Manager in Singapore to oversee market risk management for AEJ Macro, CVA, and Treasury. The ideal candidate will have a minimum of three years of experience in market risk, particularly with macro products, and will work closely with various departments to ensure effective risk governance and reporting

Job Summary

  • 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.
  • The risk analyst will also be responsible for overseeing day to day market risk management governance processes and covering Singapore regulatory reporting.
  • The successful candidate will gain experience across AEJ Rates, FX and Credit as well as core G10 currencies products and markets.

Matching Summary

Match Score: 85

Nomura International PLC is seeking an Associate Market Risk Manager in Singapore to oversee market risk management for AEJ Macro, CVA, and Treasury. The ideal candidate will have a minimum of three years of experience in market risk, particularly with macro products, and will work closely with various departments to ensure effective risk governance and reporting.

Skills & Requirements

Must-have

  • Market risk management
  • Risk monitoring and analysis
  • VAR and limit reporting
  • Stress testing scenarios
  • Front Office liaison

Nice-to-have

  • Independent problem solving
  • Aptitude to learn
  • Risk culture promotion
  • Psychological safety

Key Requirements

  • Minimum 3+ years of experience
  • Bachelor or Post graduate degree
  • Proficiency in Excel, VBA, python preferred
  • Ability to work autonomously

Work Rights

Not specified

Tailored Resume

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