Job Openings
Credit Risk Derivatives Analyst (Contract, Private Bank)
About the job Credit Risk Derivatives Analyst (Contract, Private Bank)
Duration: 4 Months (Start in July)
Responsibilities:
- Manage credit risk exposure for a portfolio of trading clients (private clients, funds, corporates).
- Monitor intraday risk, margin requirements, and limit breaches.
- Review and approve credit transactions under delegated authority.
- Advise on complex derivatives portfolios and structured trades.
- Prepare credit memos for new transactions, renewals, and amendments.
- Support credit risk reporting and dashboards (Excel/Tableau).
- Contribute to system and methodology enhancements with global teams.
Requirements:
- Degree in Finance, Economics, or related field with 4 years in credit risk, preferably with derivatives exposure.
- Strong knowledge of FX and equity derivatives, margining, and risk systems.
- Proficient in Excel; Tableau or VBA a plus.
- Strong communication, analytical, and stakeholder management skill
** This Singapore-based position is opened to Singaporeans only.
Email: Nurul.amirah@gmprecruit.com
We regret that only shortlisted candidates will be notified.
GMP Technologies (S) Pte Ltd | EA Licence: 11C3793 | Nurul Amirah | Registration No: R22108940