1 день назад
Credit Officer, Derivaties Competence Centre
Мэтч & Сопровод
Для мэтча с этой вакансией нужен Plus
Описание вакансии
Текст:
TL;DR
Credit Officer, Derivaties Competence Centre (Credit Risk/Derivatives): Structuring and managing credit facilities for high-net-worth and ultra-high-net-worth clients with FX and equity OTC and ETD trading activity, with an accent on derivatives credit risk, margining, collateral, and netting arrangements. Focus on monitoring trading exposures, managing margin shortfalls and limit excesses, and improving risk infrastructure, automation, and analytics.
Location: Singapore
Company
is a wealth management organisation serving sophisticated private banking and trading clients.
What you will do
- Structure and approve credit facilities for high-net-worth and ultra-high-net-worth clients trading FX and equity OTC and ETD derivatives.
- Monitor trading exposures, collateral, margin netting arrangements, margin shortfalls, limit excesses, and portfolio risks.
- Provide credit risk advice on derivatives transactions and positions, including margining methodologies, collateral frameworks, and netting arrangements.
- Collaborate with Front Office, Markets, Legal, Operations, Risk, Relationship Managers, and product specialists to support transaction execution.
- Contribute to risk methodology, infrastructure, margining systems, collateral management, automation, and data-driven reporting improvements.
- Communicate risk recommendations to senior stakeholders and collaborate with regional and global teams on best practices.
Requirements
- Experience in Credit Risk, FX trading, Market Risk, or a related discipline.
- Strong analytical skills, sound risk judgement, and excellent verbal and written communication.
- University degree in a relevant discipline.
- Ability to manage stakeholders, influence senior partners, understand client needs, work under pressure, and collaborate effectively.
- Professional knowledge of FX products and trading activities; experience with OTC and ETD equity derivatives is preferred.
- Understanding of margining, collateral management, and netting arrangements.
Nice to have
- CFA, FRM, or a similar qualification.
- Experience in FX trading or sales, Market Risk, or trading-related credit risk.
- Exposure to Murex, MarginMan, Bloomberg, SQL, Copilot, risk systems, data analytics tools, or trading platforms.
Culture & Benefits
- Opportunity to work at the intersection of Credit Risk, Derivatives, Market Risk, and Private Banking.
- Exposure to sophisticated trading clients and complex FX and equity derivatives portfolios.
- Collaboration with regional and global teams on strategic risk initiatives.
- Emphasis on integrity, due care, fair dealing, continuous development, and regulatory compliance.
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