A global financial services firm in Singapore is seeking a Market Risk Manager to oversee market risk governance and regulatory reporting. The successful candidate will participate in managing market risk for AEJ Macro, CVA, and Treasury and collaborate with various stakeholders. This position requires at least 3 years of market risk experience, particularly in monitoring FX and rates products, and strong analytical skills.
Proficiency in Excel and Python is preferred, making it a valuable opportunity for growth within the organization.
mid
4/21/2026
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