Firm Risk Management - Market Risk Associate

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Morgan Stanley
Singapore
SGD 60,000 - 80,000
Be among the first applicants.
4 days ago
Job description

Morgan Stanley

Morgan Stanley is an industry leader in financial services, known for mobilizing capital to help governments, corporations, institutions, and individuals around the world achieve their financial goals.

Firm Risk Management

In the Firm Risk Management division, we advise businesses across the Firm on risk mitigation strategies, develop tools to analyze and monitor risks and lead key regulatory initiatives.

Job Description

  1. Market Risk Coverage Associate covering (1) Asia Commodities and (2) Asia XVA business.
  2. Commodities area of coverage more specifically into Asia Oil, Cross Asset and Bulks Trading, Precious Metals.
  3. Asia XVA coverage to be regional coverage of XVA trading business.
  4. Will aid and assist legal entity market risk coverage for MSCGS entity which is a Singapore incorporated Commodities focused entity.
  5. Responsible for market risk limits, trade approvals, day to day risk monitoring, senior updates.
  6. Designing stress testing scenarios.
  7. Liaising with global/regional market risk and FRM stakeholders.
  8. Interacting with trading, first line risk management (TRM), finance and other stakeholders.
  9. Ability to automate reporting, risk aggregation in Python would be beneficial.
  10. Comfort in dealing with large amounts of data and ability to visualize data in dashboards.

Qualifications:

  1. Min. 4 years prior risk management experience.
  2. Knowledge of XVA and/or Commodities markets is a key benefit.
  3. Technical knowledge on derivatives pricing and risks.
  4. Credit and counterparty risk familiarity for XVA will be useful.
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