Location
Singapore
Job Type
full time
Posted
June 26, 2026
Job Description
Responsible for monitoring and managing market risk across trading portfolios, ensuring adherence to risk frameworks and limits.
Key Responsibilities
- Monitor daily market risk metrics (VaR, sensitivities, stress testing)
- Analyze trading exposures across asset classes (Equities, Fixed Income, FX)
- Review limit breaches and escalate risk concerns
- Perform scenario analysis and stress testing
- Support new product approvals and risk assessments
- Prepare risk reports for senior management
Requirements
- 3–8 years of experience in Market Risk within banking/financial services
- Strong understanding of financial markets and risk methodologies
- Proficiency in Excel; Python or VBA preferred
- Strong analytical and problem-solving skills
Ready to Apply?
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