GRIT: Group Risk Management, Group Market Risk Management
OVERSEA-CHINESE BANKING CORPORATION LIMITED
Singapore, Singapore
Competitive base salary; not specified; holistic f...
Not specified
Knowledge of treasury products and derivatives
Understanding of market risk sensitivities and var
Proficiency in ms excel and powerpoint
OCBC is seeking a recent graduate for a role in Group Risk Management focused on market risk management, where the candidate will collaborate with risk managers and front office professionals to analyze and manage market risk exposures. The position offers a strong foundation in market risk concepts and emphasizes the importance of stakeholder relationships and analytical skills
Job Summary
This role offers a comprehensive understanding of market risk management, covering sensitivities, VaR, stress testing, and regulatory capital.
You will collaborate with front office professionals to safeguard the bank's trading portfolio by monitoring risk against established limits.
The position provides practical experience in designing stress test scenarios and assessing MRWA requirements under MAS Notice 637.
Matching Summary
Match Score: 75
OCBC is seeking a recent graduate for a role in Group Risk Management focused on market risk management, where the candidate will collaborate with risk managers and front office professionals to analyze and manage market risk exposures. The position offers a strong foundation in market risk concepts and emphasizes the importance of stakeholder relationships and analytical skills.
Salary
Competitive base salary; Not specified; Holistic flexible benefits
Skills & Requirements
Must-have
Knowledge of treasury products and derivatives
Understanding of market risk sensitivities and VaR
Proficiency in MS Excel and PowerPoint
Ability to analyze risk reports and trading positions
Nice-to-have
Programming experience with VBA or other languages
Understanding of Market Risk Weighted Assets (MRWA)
Strong interpersonal and stakeholder management skills