Director, Market Risk (Commodities) – Leading Bank

Description
We are partnering with a Leading International Bank to recruit for their Market Risk team. The position is based in Singapore and will support their Global Commodities Trading business. We are seeking a dynamic risk professional with extensive experience in this domain and a proactive approach to risk mitigation. This is an excellent opportunity to join a dynamic company that values diversity, inclusion and employee wellbeing.
Responsibilities
As a senior individual contributor in the Market Risk team, you will play a crucial role in overseeing market risk for soft and hard commodities asset class. It involves diligent monitoring and management of traded market risks, stress testing, limit management, financial performance attribution, and compliance. Covering global traders in diverse locations such as Singapore, Europe, US, and Australia, you will promote a strong risk culture and drive the development of innovative products that prioritize environmental stewardship.
Requirements
To excel in this role, you should possess a graduate degree in a quantitative discipline, extensive experience in market risk management, commodities exposure and strong analytical skills. Familiarity with commodities products, trading activities, and economic fundamentals impacting market prices is essential. You have excellent stakeholder management skills, an ability to adapt to a rapidly changing environment, and have awareness regulatory changes impacting market risk.
To Apply
To apply, please submit your resume to Christina Tay at cr@kerryconsulting.com, quoting the job title and reference number CR27263. We regret that only shortlisted candidates will be notified.
Registration No: R1658357
Licence No: 16S8060