Risk Analyst Lead (REIT, Financial Risk)

Triton AI Pte Ltd
Singapore, SG
On-siteCareer-pivot friendly

Why this role

Pace
Steady
Collaboration
Medium
Autonomy
Medium
Decision Impact
Team
Role Level
Individual Contributor
Career Pivot Friendly
Welcomes transferable skills

Derived from job-description analysis by Serendipath's career intelligence engine.

What success looks like

  • Developing advanced risk frameworks
  • Influencing leadership with detailed risk reports
Typical background
Bachelor's Degree in Business, Finance, Economics, Statistics

Transferable backgrounds

  • Coming from Financial Analyst
  • Coming from Risk Analyst

Skills & requirements

Required

Financial Risk ManagementVarStress-testingExcel ModelingCAPMFRMPRMCFA

Preferred

Real Estate ResearchProject FinancingCorporate FinanceProperty Valuation

Stack & domain

Advanced Excel Modeling (vba/python)VarCapmReal Estate ResearchProject FinancingCorporate FinanceProperty ValuationFrmPrmCFAStrong Analytical SkillsStrategic MindsetExcellent Communication AbilitiesFinancial Risk ManagementReal Estate InvestmentQuantitative Risk ManagementCreditMarketLiquidity

About the role

Original posting from Triton AI Pte Ltd

Description

Shape the Future of Real Estate Investments with a Leading Firm

Are you passionate about financial risk management and ready to make a meaningful impact in the dynamic world of real estate investments Join a prominent investment firm in the West (conveniently near an MRT station) as a Financial Risk Analyst Lead and take your career to the next level!

What Awaits You:

  • Competitive Compensation: Earn up to $8,200 monthly with an attractive variable bonus.
  • Permanent Role: Enjoy stability and long-term growth opportunities.
  • Industry Leader: Be part of a company shaping the real estate investment landscape.

Responsibilities

  • Develop Advanced Risk Frameworks: Work with asset management, treasury, and finance teams to design innovative risk strategies.
  • Analyze & Strategize: Perform qualitative and quantitative assessments using models like VaR and stress-testing to drive strategic decisions.
  • Support Investments: Conduct independent evaluations for acquisitions and divestments, ensuring alignment with organizational goals.
  • Influence Leadership: Prepare detailed risk reports and present insights to the Board and Risk Committees.

Skills and Qualifications

  • Education: Bachelor's Degree in Business, Finance, Economics, Statistics, or a quantitative discipline.
  • Experience: At least 5 years in analytical or investment-focused roles, ideally in quantitative risk management (credit, market, or liquidity).
  • Expertise: Knowledge in real estate research, project financing, corporate finance, or property valuation is a plus.
  • Technical Skills: Advanced Excel modeling (VBA/Python preferred) and familiarity with financial models like CAPM and VaR.
  • Certifications: FRM, PRM, or CFA certification is advantageous.
  • Personal Attributes: Strong analytical skills, a strategic mindset, and excellent communication abilities.

Take the Next Step in Your Career

  • Are you ready to elevate your career in the exciting field of real estate investment and financial risk management Let's make it happen!

Source: Triton AI Pte Ltd careers

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