Assistant Manager/Manager (Capital Market), Risk Management
Your role is:
To provide analysis of risks arising from the capital market environment and recommendations to support policy formulation at the SC
You will be accountable for:
- Developing and monitoring risk indicators in relation to domestic and global capital market performance
- Conducting studies and developing scenarios on pertinent thematic risks concerning the capital market
- Oversee production of reports on capital market risks
- Making policy recommendations from a capital market risk perspective
You should have:
- A strong first degree or postgraduate degree in economics, finance or related subjects; a professional qualification, such as Chartered Financial Analyst would be an advantage
- At least four (4) years’ working experience, preferably in equity or debt research, market strategy or portfolio fund management research
- Strong oral and written communication skills
- Demonstrable ability to conduct quantitative analysis, spreadsheet modelling and prepare PowerPoint presentations
<<How to Apply>>
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