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Senior Market Risk Analyst (6 Month Project)

This job is no longer available

Recruiter
Aurec
Posted
11 April 2012
Closes
11 May 2012
Ref
BHA10029
Location
Singapore
Job Sector
Experience Level
Contract Type
Contract
Hours
Salary
Contract

Further information

My client, a Singapore based Investment bank is currently looking for a Senior Analyst / AVP to join an ongoing market risk systems replacement program currently being carried out for an initial 6 month contract (Extensions likely) 

The successful candidate will have a numerical degree with a minimum of 6 years experience working within a top tier investment bank or financial institution (specifically within Market Risk) (candidate from a product control background may also be considered)

Derivatives products and structures experience is a must, as is knowledge / demonstrable experience of Excel, Var / DVaR, VBA, Market Risk Systems, project lifecycle techniques and UAT.

You will be based in a front office environment gathering requirements from Senior Risk Managers so strong communication skills is a must.

This represents a great opportunity within one of Singapore’s leading investment banks.

Please apply for more information

Aurec