Firm Risk Management - Market Risk Associate

Morgan Stanley

3.1

(72)

Singapore

Why you should apply for a job to Morgan Stanley:

  • Our best-in-class Return to Work program is an excellent opportunity to re-engage and pick up where you left off after a career break.
  • Whether you're welcoming a new addition, watching your children grow or caring for aging parents, there’s support.
  • An employee stock purchase program, 401(k) retirement savings, 529 plans with a company match, IRAs? Check, check, check and check.
  • #549782611995

    Position summary

    rket risk limits, trade approvals, day to day risk monitoring, senior updates.

    • Designing stress testing scenarios and

    • Liaising with global/regional market risk and FRM stakeholders.

    • Interacting with trading, first line risk management (TRM), finance and other stakeholders.

    • Ability to automate reporting, risk aggregation in Python would be a beneficial.

    • Comfort in dealing with large amounts of data and ability to visualize data in dashboards.

    Experience

    • Min. 4 years prior risk management experience.
    • Knowledge of XVA and/or Commodities markets is a key benefit.
    • Technical knowledge on derivatives pricing and risks.
    • Credit and counterparty risk familiarity for XVA will be useful.

    Why you should apply for a job to Morgan Stanley:

  • Our best-in-class Return to Work program is an excellent opportunity to re-engage and pick up where you left off after a career break.
  • Whether you're welcoming a new addition, watching your children grow or caring for aging parents, there’s support.
  • An employee stock purchase program, 401(k) retirement savings, 529 plans with a company match, IRAs? Check, check, check and check.