a highly motivated Murex Market Risk and Credit Risk Consultant with good knowledge & experience in Murex Market Risk... within the capital markets industry. Strong working experience on Murex Market Risk and Credit Risk Familiar with SQL...
, including market infrastructure and a basic understanding of operational matters. Experience with credit risk management tools... Purpose: Responsible for analysis and limit establishment, monitoring the credit risk of the business and escalating...
Testing, Back Testing, usage of risk factor/market data for Scenario Generation Market and Credit Risk experience Prior MRE... integrated platform for straight through processing and risk management. This is a multi-year initiative where multiple...
and derivatives, money market and securities trading, to corporations and financial institutions. DBS trades in a comprehensive... with an excellent, customer-driven research capability and with cutting-edge risk management technology and systems. Responsibilities...
around traded risk management Good understanding of key market risk concepts (eg. traded products, VaR, stress testing, risk/limit...Project description Client in Singapore is looking for an experienced business analyst for the core Treasury IT team...
Experience working in the financial industry with relevant experience in business analysis or in core Market Risk module... of Market Risk capital charge" Must have working understanding of Murex module with atleast 7 years of specific experience...
: The Analyst role within the market risk management department (Market risk analytics team) will be in charge of performing... market risk/counterparty credit risk analysis, monitor market risk activities undertaken by Global Markets (Trading...
of everything that we do. Responsibilities Group Risk Management is looking to hire a Market Risk Analyst to participate in covering the Singapore based... business in Digital Assets Flow and Options Market Marking, CVA and Treasury. The risk analyst will also be responsible...
experience in business analysis or in core Market Risk module and project implementation. Previous experience on implementing... must have thorough understanding of regulation on "Minimum requirement of Market Risk capital charge" Must have working understanding...
you will be working on is a multi-year initiative looking to implement market-risk FRTB IMA for the customer by 2025. This project... is a great opportunity for the successful candidate to gain or extend in-depth knowledge on FRTB IMA and/or Murex market risk...
with groups outside of Market Risk, such as Credit Risk, Research, Quantitative Development, Finance, Product Control, Middle... of everything that we do. Responsibilities Support the quant risk analyst in terms of daily risk monitoring and coding work Ensure that daily risk and limit...
on Potential future exposure (PFE) and Counter Party Credit Risk models. Liaise with front office and risk on results and produce.... In particular, C#, C++, Python are a plus. Experience with Counter Party Credit Risk or Potential future exposure (PFE...
of Credit Analyst, Singapore has a key role to perform credit, business analysis and structuring for Global Funds & Financial... in the industry from regulatory, market and credit perspectives Work and coordinate with internal business, product...
Why join: This is an excellent opportunity to join a high-performing team of credit risk professionals in the Global... diligence in respect of credit analysis. Work with different Business Units and Financial Institutions Credit Risk Management...
Experience working in the financial industry with relevant experience in business analysis or in core Market Risk... on “Minimum requirement of Market Risk capital charge” Must have working understanding of Murex module with at least 7 years...
and reporting of GIC's market, credit and operational risk profiles. Risk Infrastructure (RI) You will join the Risk... for Singapore's financial future and the communities we invest in worldwide. Risk and Performance Management Department (RPMD...
and reporting of GIC’s market, credit and operational risk profiles. Risk Infrastructure (RI) You will join the Risk... for Singapore's financial future and the communities we invest in worldwide. Risk and Performance Management Department (RPMD...
markets. The platform does also cover the usage of the insurance market (CPRI) as risk and/or capital distribution tool... including valuation and/or credit analysis (as relevant); and (c) market research, competitor analysis and appropriate capital...
markets. The platform does also cover the usage of the insurance market (CPRI) as risk and/or capital distribution tool... including valuation and/or credit analysis (as relevant); and (c) market research, competitor analysis and appropriate capital...
with the sales desk and other market participants. Trading manages portfolio risk out of new, existing and daily market risks... role is ideal for candidates who are eager to develop their skills in trading, sales, market analysis, and investment...