Competitive salary; benefits: core bank funding, m...
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7+ years non financial risk experience
Markets credit trading domain knowledge
M7 risk management system proficiency
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The Markets Trading Business Risk Manager (BRM) at Standard Chartered Bank in Singapore is responsible for identifying and managing non-financial risks within the Markets Trading business, particularly in credit trading. The role emphasizes risk governance, compliance, and creating effective controls while fostering a culture of continuous improvement.
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Job Summary
The role supports the global Markets Trading business by proactively identifying and managing non-financial risks including Compliance, Operational, and Conduct risks within the credit trading space.
Key responsibilities include designing proportionate risk controls, leading internal and external audit activities, and preparing risk papers for senior governance forums such as the Markets Non Financial Risk Committee.
The position offers competitive salary and benefits including core bank funding for retirement, flexible working options, and a continuous learning culture focused on professional development.
Matching Summary
Match Score: 75
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The Markets Trading Business Risk Manager (BRM) at Standard Chartered Bank in Singapore is responsible for identifying and managing non-financial risks within the Markets Trading business, particularly in credit trading. The role emphasizes risk governance, compliance, and creating effective controls while fostering a culture of continuous improvement.
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Salary
Competitive salary; Benefits: Core bank funding, medical/life insurance, 30 days minimum leave; Flexible working options available
Skills & Requirements
Must-have
7+ years non financial risk experience
Markets Credit Trading domain knowledge
M7 risk management system proficiency
Second line oversight experience
Audit and compliance review coordination
Nice-to-have
Strong stakeholder management skills
Advanced Excel and PowerPoint capabilities
Root cause analysis expertise
Resilience in fast-paced environments
Key Requirements
Bachelor's degree or equivalent
7+ years relevant experience in risk or governance
Hands-on experience with M7 or equivalent risk systems