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Open nowPosted 17 days ago

Model Risk Management / Model Validation Specialist

Workable (global search)108,016 open roles

Where
Singapore
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Your applicationOpen nowModel Risk Management / Model Validation SpecialistWorkable (global search) · Singapore
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Early applications get read.

7.9% of postings close within 7 days. Measured by our own scanner across the market. Workable (global search) postings stay open a median of 7 days.

Share of postings closed within
  1. 1.6%1 day
  2. 3.6%3 days
  3. 7.9%7 days
  4. 14.9%14 days
  5. 34.0%30 days
This job: posted 17 days ago

Workable (global search) median: 7 days open

The posting

Key Responsibilities:

  • Work within the Model Risk Management (MRM) framework covering pre-trade and post-trade model risk activities.
  • Perform independent validation and assessment of financial and investment risk models.
  • Validate models used for investment, financial modelling, pricing, risk measurement and trading activities.
  • Review model methodology, assumptions, data, limitations, performance and implementation.
  • Conduct model development, evaluation and validation activities, including back-testing, stress testing and sensitivity analysis.
  • Assess model performance across pre-trade and post-trade workflows and identify model weaknesses or limitations.
  • Prepare detailed Model Validation Reports, findings, recommendations and remediation requirements.
  • Partner with Model Developers, Quantitative Analysts, Risk, Trading and Business teams to resolve model risk issues.
  • Ensure models comply with established Model Risk Management policies, governance standards and validation procedures.
  • Support model inventory, model lifecycle management, risk ratings, approvals and ongoing monitoring.
  • Preferred candidates should have prior experience working on Investment / Financial Model Risk Management and model evaluation/development.
  • Alternatively, candidates with strong Model Risk Management business-domain SME experience and good understanding of model validation processes will be considered.

Mandatory / Preferred Skills

  • Strong experience in Model Risk Management (MRM).
  • Hands-on experience in Model Validation / Model Evaluation.
  • Understanding of pre-trade and post-trade risk management workflows.
  • Experience with investment, financial or trading risk models.
  • Strong knowledge of model governance, model lifecycle and model controls.
  • Experience in financial institutions, investment banks, asset management or capital markets is preferred.
  • Strong analytical, documentation and stakeholder-management skills.
  • Candidates with quantitative/model development experience will have an advantage.
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