The Market Risk Manager will be responsible for:
* Control function measuring, monitoring and reporting market, credit and liquidity risk.
* Manage Risk department projects.
* Manage new product release.
* Perform monthly price validation and compute reserves.
* Configuring and modelling within Openlink software.
* Model validation / conformance testing / regulatory reporting.
* Manage the London Risk department team for BAU and project responsibilities.
* Implement technical solutions to improve daily measurement monitoring and reporting of risks.
* Conduct risk assessments/audits.
* Write and publish monthly risk department summary report.
* Support the CRO and liaise with Singapore Risk team and other departments.
Reference no: 27281
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