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Triton Ai Pte. Ltd.

Risk Management (Assistant Manager - Financial Risk)

Early Applicant
  • 20 days ago
  • Be among the first 50 applicants

Job Description

This role involves independently assessing, measuring, monitoring, and reporting on the Group's investment, financial, and market risks, providing critical support to the Group's Board and REITs Audit & Risk Committees.

Job Responsibilities

  • Collaborate with team members to design and implement frameworks and tools that enhance risk management and support decision-making processes.
  • Conduct in-depth risk analysis and research, taking the lead on projects and managing teams to achieve timely and effective outcomes.
  • Engage with asset management, investment, treasury, and finance teams to analyze risk impacts and provide financial insights for the organization.
  • Perform qualitative and quantitative risk assessments for investments and assets across the Group's portfolio, utilizing various metrics and models, including Value at Risk (VaR) and stress-testing techniques.
  • Deliver independent risk assessments for potential acquisitions and divestments.
  • Review methodologies and establish benchmark hurdle rates to evaluate investment performance.
  • Develop financial models and prepare quarterly risk reports and presentations for the risk committees and Board of Directors.
  • Handle ad-hoc projects and special assignments as directed by the supervisor or Head of Department.

Job Requirements

  • At least 5 years of experience in analytical or investment-related roles, ideally with expertise in quantitative risk management (credit, market, or liquidity) within financial institutions. Relevant experience in real estate research/investment, project financing, equity research, corporate finance, or property valuation is also valued.
  • Bachelor's degree in Business, Finance, Accountancy, Economics, Mathematics, Statistics, Real Estate, or related quantitative fields.
  • Strong analytical skills in both quantitative and qualitative areas, with familiarity in statistical/risk methodologies and financial models such as scenario analysis, stress testing, VaR, and Capital Asset Pricing Models.
  • Curiosity and an interest in macro and market research, along with strong problem-solving abilities.
  • Excellent communication and interpersonal skills, with attention to detail and an ability to manage multiple projects effectively.
  • Interest in pursuing a career in risk management, investments, or real estate.
  • Advanced Excel modeling skills, with proficiency in VBA or Python as a plus.
  • Additional certifications, such as FRM, PRM, or CFA, are a bonus.

If you're interested in this role, click apply now to forward an up-to-date copy of your CV or email to [Confidential Information]

CEI Registration Number: R1985071

EA License Number: 21C0661

Company Registration Number: 201127615M

Date Posted: 04/11/2024

Job ID: 99121225

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