. You will be responsible for market-making, directional and volatility trading, and managing risk within a well-defined framework. Key... and implement trading strategies, including delta-hedging, gamma scalping, and calendar spreads Monitor and manage portfolio risk...
with corporates to risk-share early-stage growth of their ventures and active portfolio value creation support to scale each venture..., capital mobilisation, blended finance or Singapore's enterprise ecosystem We review applications and interview on a rolling...
to strengthen the Bank's technology risk resilience, address potential vulnerabilities and ensure continuity of business operation... with better responsiveness and recovery from technology-related incidents. Provide strategic advisory and insightful guidance to the risk...
for the Monetary Authority of Singapore (MAS), managing the local regulatory risk profile and relationship with the... or above in a relevant discipline (e.g. law, finance, accounting etc.) Any relevant professional qualification or certification...
Job Description: Establish and implement robust operational risk management strategies, framework and policies... matter expert on Operational Risk to review and provide specialist advice & objective assessment to BUs/BEs...
Who are we? At Finastra, we are a dynamic global provider of open finance software solutions, dedicated to expanding... within Capital Markets, Banking, Lending, Transaction Banking, or Risk Proven track record of driving cross-functional teams toward...
successful candidate will be assigned to our client’s office for a period of 18 months, assuming the responsibilities of a finance manager..., relevant reports and advice, fostering strong “Trusted Business Advisor” relationships. Ensure all firm quality and risk...
exceeding customer expectations. 3) Support Tender risk assessments from Tender evaluation to submission. 4) Support... analysis by business and application 8) Work with the Group Legal Counsel, Finance & other stakeholders to ensure Prysmian...
for market-making, directional and volatility trading, and managing risk within a well-defined framework. Key Responsibilities... trading strategies, including delta-hedging, gamma scalping, and calendar spreads Monitor and manage portfolio risk including...
and services in capital market activities, investment banking, structured finance, commercial banking and international trade. The... Bank is a pioneer in the area of climate finance, and is currently a market leader in this segment with a complete...
to assess portfolio credit health, documentation completeness, and policy compliance Monitor key risk indicators (KRIs... with approved credit terms and conditions Compliance & Risk Management Monitor adherence to internal credit policies...
). Strong financial acumen and understanding of credit and risk assessment. Knowledge of sustainability regulations, ESG risk management..., and climate finance. Excellent analytical, problem-solving, and stakeholder management skills. Ability to develop effective...
across engineering, operations, finance, and business units.Drive collaboration, resolve conflicts, and champion change management....Ensure data accuracy, compliance, and security across all solution delivery metrics. Manage Ambiguity & Risk - Navigate...
preparation and presentation Understanding customer requirements, clarifications, technical solution design, pricing, risk... landscape Understanding customer requirements, clarifications, technical solution design, pricing, risk identification...
and initiatives focused on Governance, Risk, and Compliance (GRC). Your work will extend beyond local regulations, helping clients...) Code of Ethics. Requirements Bachelor’s degree in Accountancy, Business, Finance, or equivalent professional...
to assess portfolio credit health, documentation completeness, and policy compliance Monitor key risk indicators (KRIs... with approved credit terms and conditions Compliance & Risk Management Monitor adherence to internal credit policies...
credit portfolio analysis in terms of corporate groups, industry risks, commodity price, currency risks, ESG risk, internal... with other relevant teams / departments. Build a strong compliance and risk management culture, ensuring compliance with the Bank's risk...
for market-making, directional and volatility trading, and managing risk within a well-defined framework. Key Responsibilities... trading strategies, including delta-hedging, gamma scalping, and calendar spreads Monitor and manage portfolio risk including...
in either Trading, Risk Management, or Operations & Finance and and gain hands-on exposure to business processes, assist in analyzing...Murex is a global fintech leader in trading, risk management and processing solutions for capital markets. Operating...
, pricing and interchange changes, and risk-related documentation. Facilitate rules waiver requests, ensuring proper... tracking. Partner with cross-functional teams (e.g., Legal, Risk, Pricing, Interchange) to ensure seamless execution...