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The defining accountabilities of the role are:
to provide oversight of market risk, ensuring all significant market risks and results are appropriately and accurately quantified and made transparent to the Senior
team;
to remain informed of regional regulatory change, industry standards and market developments and ensure that market risk oversight and policy frameworks remain current and effective.
Specific responsibilities include:
Provide effective market risk and valuation oversight of the global TD Securities International Fixed Income, Equity Derivatives, Money Markets trading desks and local investment books operating within Singapore.
Develop an informed independent view of current market conditions, the market risk of the desk's positions and valuation parameters of the portfolio.
Interact fluidly with the Front Office, including business heads and senior traders regarding trading strategies, market conditions, risk positions, liquidity, profit and loss and new initiatives.
Develop market risk and valuation policies for the International Fixed Income businesses and determine stress tests and scenarios that highlight key market risks.
Understand business strategies and provide an independent perspective on the market risk implications of strategic business decisions/reviews. Ensure that strategies are consistent with TD Securities' market risk appetite.
Analyze new product requests to ensure that market risks and valuation are well understood, and that appropriate market risk limits and controls are
Effectively communicate risk issues to all levels of the Risk Management organization, other control groups, the frontofficeand Senior Management.
Leadersand Senior Management
Develop a thorough understanding of key factors contributing to profitability, through continual review of P&L attribution. Provide weekly dashboard commentary and performance analysis with commentary linking performance to specific trading strategies, positions, market conditions and underlying
Job Requirements
Capital markets knowledge with experience in market risk and control functions.
Undergraduate or graduate degree in Finance, Economics, Mathematics, or other relevant discipline.
Advanced critical thinking, analytical and problem-solving skills.
Pro-active and motivate approach to work with strong individual development
Robust organizational skills with the ability to work in a demanding environment and handle multiple deadlines and
If you’re interested in a specific career path or are looking to build certain skills, we want to help you succeed. You’ll have regular career, development, and performance conversations with your manager, as well as access to an online learning platform and a variety of mentoring programs to help you unlock future opportunities. Whether you have a passion for helping customers and want to expand your experience, or you want to coach and inspire your colleagues, there are many different career paths within our organization at TD – and we’re committed to helping you identify opportunities that support your goals.
We will provide training and onboarding sessions to ensure that you’ve got everything you need to succeed in your new role.
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