Risk Manager

WEBULL SECURITIES (SINGAPORE) PTE. LTD.


Date: 1 week ago
Area: Singapore, Singapore
Salary: SGD 6,000 - SGD 8,000 per month
Contract type: Full time

Responsibilities:

  • Monitor customer portfolio risk level and enforce margin call policy.
  • Identify and report key risks material to the Group and recommend mitigating solutions.
  • Review credit limit applications by performing customer due diligence checks and portfolio assessment to better establish appropriate trading limit for various groups of clients.
  • Carry out periodic review of counter analysis.
  • Liaise with internal and external stakeholders on timely debt recovery matters.
  • Maintain and update the operation manual as and when necessary.
  • Preparation of periodic reporting to regulators and Management.
  • Participate in system development and enhancement projects.
  • Assist in ad-hoc tasks as assigned.

Requirements:

  • Bachelor’s degree or above.
  • Experiences in Options and Futures risk management would be an advantage.
  • At least 6-8 years of working experience in brokerage or financial industry with credit risk control exposure would be preferred.
  • Excellent interpersonal communication skills required to work closely with different stakeholders within the Group.
  • Proficient in MS Office applications.
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