Search by job, company or skills

C

Manager Risk Management

3-7 Years
Save
  • Posted 15 hours ago
  • Be among the first 10 applicants
Early Applicant

Job Description

We are looking for a Manager, Risk Management to join a lean and high-impact corporate function. This role offers broad exposure across market, credit and counterparty risk, alongside internal audit coordination and governance. The successful candidate will operate closely with senior stakeholders and play a key role in safeguarding the organisation's risk posture while supporting commercial activities.

Key Responsibilities

Risk Oversight

  • Maintain and enhance credit, counterparty and market risk frameworks, including exposure monitoring and governance
  • Perform valuation and reporting of derivative positions, ensuring exposures remain within defined limits
  • Develop and validate pricing curves (e.g. commodities, FX and discount curves)
  • Conduct credit assessments for counterparties and customers

Middle Office & Controls

  • Review and validate derivative trade confirmations and maintain supporting documentation
  • Perform independent valuations for reporting, settlement and hedge accounting purposes
  • Oversee hedging and portfolio activities to ensure compliance with policies and controls
  • Support onboarding and ongoing monitoring of counterparties

Internal Audit & Governance

  • Coordinate the annual internal audit programme, including planning and stakeholder engagement
  • Act as the key liaison between auditors and internal stakeholders
  • Track remediation of audit findings and report progress to management

Risk & Advisory Support

  • Support insurance renewals, risk reporting and ad hoc projects
  • Prepare management reporting, including exposure and sensitivity analysis

Requirements

  • Degree in Finance, Economics, Engineering, Mathematics or a related discipline
  • 3–7 years of relevant experience in risk management (market and/or credit risk exposure preferred)
  • Exposure to middle office, derivatives operations or similar functions is advantageous
  • Strong analytical skills with good Excel proficiency and ability to work with large datasets
  • Effective communication skills and ability to engage stakeholders across different levels

Preferred

  • Exposure to internal audit or governance processes
  • Experience in commodities or complex trading environments
  • Ability to operate independently in a lean team setup

Why Join Us

  • Broad, hands-on exposure across multiple risk disciplines within a single role
  • Opportunity to work closely with senior stakeholders and contribute to business-critical decisions
  • High ownership role within a lean and collaborative team environment

More Info

Job Type:
Industry:
Employment Type:

Job ID: 150611429

Similar Jobs

Singapore

Skills:

PythonSqlFinancial market databasesBloombergDerivatives trading riskrisk monitoringReporting

Singapore, Raffles Link / Raffles Place

Skills:

Quantitative skillsReporting abilitiesRisk ControlCommunication SkillsSecurities investmentValuation methodsRisk managementPrivate Equity

Singapore

Skills:

Microsoft ExcelRisk ManagementRisk ReportingOperational RiskMarket Risk

Singapore

Skills:

policy administration Insurance ManagementClaims managementData collection and collationReporting

Singapore

Skills:

SqlSwapPythontrading executionquotation pricingLiquidity Managementdata analysis toolstrading workflowsFX productsBI dashboardscounterparty managementforwardFX solutionsexposure managementexposure monitoring toolsFX lifecycle managementautomation capabilitiesHedgingspotFX platformsquotation systemsrisk dashboardsNDF