Risk Management - Risk Control (Listed FI; AVP Level)
LICO RESOURCES PTE. LTD.
Singapore, Singapore
Not specified
5 years financial services experience
Degree in finance or economics
Strong analytical ability for risk
Lico Resources Pte. Ltd. is seeking an AVP-level candidate in Risk Management for a reputable financial institution in Singapore. The role involves monitoring financial exposures, conducting stress tests, and collaborating on risk management frameworks within a structured and accountable environment
Job Summary
The role offers a vantage point into the inner workings of financial market risk management within a structured, high-accountability environment.
Responsibilities include evaluating risk implications of new products, stress-testing portfolios, and recalibrating margin methodologies to ensure adequate loss coverage.
Candidates will partner with internal stakeholders on risk projects and contribute to the ongoing improvement of risk monitoring frameworks.
Matching Summary
Match Score: 85
Lico Resources Pte. Ltd. is seeking an AVP-level candidate in Risk Management for a reputable financial institution in Singapore. The role involves monitoring financial exposures, conducting stress tests, and collaborating on risk management frameworks within a structured and accountable environment.
Skills & Requirements
Must-have
5 years financial services experience
Degree in Finance or Economics
Strong analytical ability for risk
Solid grounding in financial markets
Experience with market surveillance
Nice-to-have
Familiarity with derivatives markets
Background in clearing operations
Naturally curious and proactive mindset
Interest in quantitative analysis
Comfortable in fast-moving environment
Key Requirements
At least 5 years of experience
Degree in Finance, Economics, Mathematics, or Business
High standards of integrity and attention to detail