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Risk Manager (6-Months Contract)

2-5 Years
SGD 5,000 - 9,000 per month
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Job Description

About the Company

A prominent global asset management firm.

About the Job

  • Comprehensive Risk Oversight: Oversee, manage, and track all facets of risk management by utilizing the organization's standardized frameworks, methodologies, and tools.

  • Investment Compliance & Guidelines: Monitor portfolios to ensure strict adherence to regulatory requirements, internal policies, and specific client mandates.

  • Market Risk Assessment: Evaluate market-related exposures, including portfolio liquidity, asset pricing, VaR/TE, and simulated stress testing.

  • Credit & Counterparty Evaluation: Analyze and manage credit exposures alongside counterparty risk profiles.

  • Performance Analysis: Direct the measurement, contribution, and attribution analysis of portfolio performance.

  • Operational Risk Management: Supervise internal permanent controls and operational risk mitigation frameworks.

  • ESG Risk Integration: Monitor and assess Environmental, Social, and Governance (ESG) risk factors within portfolios.

  • Investment Control Leadership: Lead quarterly portfolio review sessions focusing on market risk and performance dynamics.

  • Process Optimization: Evaluate and refine risk management workflows in collaboration with the Investment team, delivering actionable feedback to global process owners.

  • Risk Reporting & Presentations: Formulate comprehensive activity and business development risk reports for delivery to local Risk Committees and centralized executive teams.

  • Cross-Hub Collaboration: Coordinate closely with international risk hubs to share methodologies, standardize tools, and drive new risk-related developments.

  • Cross-Functional Synergy: Partner with internal departments such as Investments, Middle Office, and Trading, stepping in to support broader risk initiatives under the direction of regional leadership.

Skills and Requirements

  • Comprehensive Risk Management Expertise: Strong proficiency across market risk, credit risk, investment compliance, performance attribution, and operational risk.

  • Analytical Capabilities: Proven experience handling quantitative metrics such as VaR, Tracking Error, stress testing, and liquidity analysis.

  • Stakeholder Management: Excellent communication skills to interface effectively with Investment, Trading, and Middle Office teams, as well as global risk hubs.

  • Reporting & Presentation Skills: Competency in structuring complex risk data into clear presentations for executive and local risk committees.

  • Adaptability: Ability to support diverse risk functions and collaborate across borders within a global matrix organization.

To apply online please use the apply function.(EA: 94C3609/ R24124496)

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Job ID: 150427289