About the role
We are partnering with a leading private bank to hire a Risk Management Analyst. This role is responsible for supporting market and treasury risk activities through risk monitoring, P&L analysis, reporting, reconciliation and control processes.
Key Responsibilities:
- Monitor market, treasury and liquidity risk exposures, ensuring activities remain within established risk parameters and control frameworks.
- Prepare and analyse risk, valuation and profitability reports, providing timely insights to support business and management decision-making.
- Perform reconciliations and data validation across multiple systems to ensure the accuracy and integrity of financial and risk information.
- Collaborate with stakeholders across business, finance and operations teams to support risk oversight, issue resolution and process enhancements.
- Contribute to reporting automation, control improvements and risk management initiatives to enhance operational efficiency and risk transparency.
Requirements:
- Bachelor's degree in Finance, Accounting, Business, Economics, Mathematics or a related discipline.
- At least 5 years of relevant experience in risk management, market risk, treasury risk, product control or a related banking function.
- Strong analytical skills with experience in data analysis and reporting tools such as Excel, SQL, Python, Tableau or similar platforms.
- Good understanding of financial markets, risk management principles and banking control processes, with strong stakeholder management skills.
Interested candidates who wish to apply for the above positions, please click Apply now
We regret that only shortlisted candidates will be notified.
JAC Recruitment Pte. Ltd.
EA License No: 90C3026
EA Personnel No: R26162205
EA Personnel Name: Wu Zhen Xi