Analyst, Liquidity Risk And Product Control (1 Year Contract)

689

Singapore, Singapore
Hybrid
Bachelor's degree in accounting or finance
Proficiency in excel with vba skills
Experience with tableau and power query
This role offers a hybrid position within the market risk management department focusing on liquidity and market risk for Asia branches

Job Summary

  • This role offers a hybrid position within the market risk management department focusing on liquidity and market risk for Asia branches.
  • Candidates will prepare periodic liquidity risk reports, monitor risk indicators, and support Asset Liability Management Committee meetings.
  • The company values diverse ideas and invests in talent to empower employees to own their careers and make a meaningful impact.

Matching Summary

This role offers a hybrid position within the market risk management department focusing on liquidity and market risk for Asia branches.

Skills & Requirements

Must-have

  • Bachelor's degree in accounting or finance
  • Proficiency in Excel with VBA skills
  • Experience with Tableau and Power Query
  • Understanding of Balance Sheet and ALM
  • Knowledge of banking and derivatives products

Nice-to-have

  • Prior internship experience in finance
  • Data visualization and process streamlining skills
  • Ability to work with large complex datasets
  • Strong problem-solving and initiative
  • Interpersonal skills for stakeholder collaboration

Key Requirements

  • Bachelor's degree required
  • No prior professional experience required
  • Internship experience considered

Work Rights

Not specified

Tailored Resume

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