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Open nowPosted 30 days ago

Risk Manager

MyCareersFuture94,028 open roles

Pay
SGD 7,000 – SGD 8,000 a month
Where
Central, Singapore
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Your applicationOpen nowRisk ManagerMyCareersFuture · Central, Singapore
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The clock on this job

Early applications get read.

7.7% of postings close within 7 days. Measured by our own scanner across the market.

Share of postings closed within
  1. 1.6%1 day
  2. 3.3%3 days
  3. 7.7%7 days
  4. 14.0%14 days
  5. 33.7%30 days
This job: posted 30 days ago

The posting

Job Responsibilities

  • Establish and continuously improve the company’s comprehensive risk management framework by formulating risk management policies, procedures, standards, and control tools to ensure full coverage across all business processes.
  • Identify, assess, and monitor credit risk, market risk, operational risk, compliance risk, and funding risk; prepare profit and loss reports, risk assessment reports, and risk alert notifications.
  • Participate in risk control reviews for business projects, conduct due diligence and risk ratings on counterparties, customers, and major transactions, and provide approval recommendations.
  • Monitor business execution, conduct routine risk inspections, abnormal data analysis, and risk investigations to promptly identify and issue warnings on potential issues.
  • Lead the handling of risk incidents, formulate response measures, follow up on corrective actions, minimize losses, and establish post-incident review and improvement mechanisms.
  • Collaborate with trading, finance, legal, operations, and other departments to integrate risk control requirements into business processes and enhance overall risk awareness among employees.
  • Regularly report to management on the company’s overall risk exposure, effectiveness of risk control implementation, and optimization recommendations to support business decision-making.
  • Monitor changes in industry policies and regulatory requirements, and update risk management strategies in a timely manner to ensure compliant and stable business operations.
  • Review the input records of physical and derivatives transactions, and verify the accuracy of valuations in the risk management system.
  • Assist the finance department in managing derivative-related funding and settlement activities.

Job Requirement

  • Bachelor’s degree or above in Finance, Economics, Risk Management, or related field.
  • 5–10 years of experience in risk management, trading risk, or commodity/LNG markets preferred.
  • Strong understanding of market risk, credit risk, and derivatives.
  • Proficiency in risk systems and Excel-based analysis.
  • Experience in Chinese corporations is an advantage.
  • Strong verbal and written communication skills in Mandarin. Need to liaise with HQ in China.
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