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Responsibilities
. Liaise and manage business, operations and technology stakeholders
. stablish, manage and control of project schedule and deliverables
. Manage, track and articulate issues/risks/action items work with respective product owners to address issues and provide update to stakeholders
. Understand and adopt Project Management Life Cycle
. As a Project Manager within Financial Markets Regulatory program, you will be involved in critical regulatory projects
. Conduct in-depth analysis of FX derivatives trades to identify and assess potential risks
. Develop and implement risk management strategies to mitigate the identified risks
. Identify risks & issues and communicate them to the relevant people in a timely manner - assist with proposing & planning mitigating steps.
. Determine Strategic Solutions / Proposals - focusing on long term efficiency, risk reduction and regulatory compliance
. Monitor and report on the performance of FX derivatives trades, including P&L analysis and risk exposure assessment
. Engage with internal and external stakeholders to communicate risk management strategies and recommendations
Skills/Requirement
. Bachelor's degree in Computer Science or Information Technology with experience in banking product or operation domain
. As banking PM, should have managed multiple implementation of end to end applications project. PMP Certified and familiar in Software Development Lifecycle best practices
. Min. 7 years experience in banking systems analysis, design, and development with good technical knowledge of IT systems
. Good knowledge in web app programming, content API, management systems, database, and system design
. Minimum of 10+ years of experience in FX derivatives risk management, trade operations,
data Management and data analysis
. Minimum 10+ Years of experience in business analysis and Investment Banking with direct experience in front-to-back trade operations and regulatory reporting.
. Strong experience in wealth management, Payments, Derivatives.
. Familiarity with financial products - listed and OTC (IRS, Equities, FX, Fixed Income, swaps and rates/credit derivatives).
. Proficiency in financial modeling and risk management software
. SQL skills for data interrogation and analysis. XML and FPML expertise are preferred.
We regret to inform you that only shortlisted candidates will be contacted.
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Job ID: 132654765