VP- GFM (Global Financial Markets) Market Risk Controller, Risk Management Group
Full-time
DBS Bank Ltd
Key Responsibilities
- Market Risk Monitoring:
- Risk Control & Governance:
- Risk Analysis & Reporting:
- Stress Testing & Regulatory Compliance:
- New Products & Frameworks:
- Projects & Change Initiatives:
- Education & Experience
- Degree in Finance or a quantitative discipline (e.g. Mathematics, Physics, Engineering)
- Experience in market risk or related function
- Technical Expertise
- Knowledge of trading products across Rates, Credit, FX and Equities (including derivatives)
- Solid understanding of risk methodologies (VaR, stress testing, sensitivities such as DV01, delta, vega)
- Analytical Skills
- Strong quantitative and analytical capabilities with ability to interpret complex risk profiles
- Stakeholder Management
- Effective communication skills with ability to engage traders, risk, finance, quant and technology teams
- Ability to present risk insights clearly to senior management
- Preferred
- Experience in risk system enhancements, UAT, or regulatory stress frameworks
- Familiarity with programming/tools (e.g. Python, SQL) is advantageous
DBS Asia Central
Job:Risk Management
Schedule:Regular
Employee Status:Full time
Vacancy posted a month ago
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