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Market Risk Associate (BuySide)

Ref: JN -022019-65059
Asia, Singapore
Financial Services, Asset Management
18th February 2019
Job Type

The successful candidate will-

- Work closely with the Risk manager to cover all the aspects of investment risk, and performance metrics to manage the portfolio on behalf of the clients.

- You will oversee a group of funds and focus on various asset classes, most likely Equities and fixed income.

- Be responsible for building relationships between the risk team and other supporting business.

- Use risk metrics to calculate and try to automate as much as possible.

- Be responsible for implementing or developing quantitative solutions for risk management

Interested candidates must:

- Have 5-7 years of similar buy side or sell side market risk experience.

- Posses a strong analytic and organisation skills with strong knowledge of financial instruments

- You will have excellent exposure to risk and performance related concepts

- Some insight of programming skills will be highly preferred (Python, Java or C++)

The requirements above will be strictly applied. Should you feel you meet the criteria, you are respectfully requested to submit your CV in Microsoft Word format.

Reg. No: R1442158

Lic. No: 12C6031

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