42 Financial Risk jobs in Singapore

Risk & Compliance Manager, Mandai Nature

Singapore, Singapore Mandai Wildlife Group

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Risk & Compliance Manager, Mandai Nature Join to apply for the Risk & Compliance Manager, Mandai Nature role at Mandai Wildlife Group Risk & Compliance Manager, Mandai Nature 10 hours ago Be among the first 25 applicants Join to apply for the Risk & Compliance Manager, Mandai Nature role at Mandai Wildlife Group Mandai Nature is a successful Singapore-based non-profit conservation organisation jointly set up by Temasek and Mandai Wildlife Group (which manages zoological parks including Singapore Zoo, Night Safari, River Wonders, Rainforest Wild and Bird Paradise). Mandai Nature is the conservation arm of Mandai Wildlife Group and was established with the aim of advancing efforts on biodiversity protection in Singapore and Asia. Through impactful programmes and innovative partnerships Mandai Nature strives to protect nature and inspire action. Role Overview The Risk & Compliance Manager will actively drive the implementation of the company's Risk Management Framework to support business and strategic goals, including adherence to essential legislative and regulatory standards. The job holder should be an experienced risk and compliance professional who is able to strike a good balance between ensuring risks are duly managed and the practical limitations in the areas or countries that Mandai Nature operates in. This position requires a passionate, adaptable and experienced professional who can work in a small and dynamic team structure. He / She must have strong stakeholder management skills when safeguarding compliance while maintaining good working relationships with team members. Key Responsibilities Risk Identification, Assessment and Management - Support the Deputy Vice President, Finance & Governance to continuously develop, improve and maintain a robust risk management framework and establish a controlled environment to reduce risk. His/ her key focus will be on Enterprise Risk Management, Grant Risk Management, Donor Risk Management and Health and Safety risk management for programme teams. - Be familiar with key business processes and track identified risks and issues related to these processes. - Work closely with other team members to devise risk mitigation measures for identified risks. - Ensure accurate monitoring and reporting of identified risks and relevant mitigation measures. - Perform grant and donor due diligence assessments and assist in second line control activities such as performing risk reviews on assessments performed by other team members. - Provide input and guidance to internal stakeholders with the aim of managing the organisation’s risk exposure in its day-to-day operations - Document key risk policies and processes - Spport the planning and execution of risk management training and workshops - Liaise with internal auditors Compliance and Governance - Support Deputy Vice President, Finance & Governance to ensure the organisation has robust policies and processes in place to fulfil and meet its compliance requirements. - Perform compliance obligations mapping to ensure Mandai Nature meets its compliance requirements. Such obligations include legal regulations, charity regulations, Anti Money Laundering & Terrorist Financing regulations and contractual obligations. - Highlight deficiencies in compliance processes and provide recommendations to manage and close these gaps. - Document key compliance policies and processes - Maintain the master contract list for the organisation and develop and maintain an efficient and effective process to ensure all legal contracts are organised centrally, with key contractual obligations identified and tracked. Other ad hoc task - Lead or support business process and system improvements from time to time. - Other special projects or ad hoc tasks that may arise Education Qualifications and Experience - Degree in Business, Finance, Law, Risk Management, or a related field in a recognised university or other relevant discipline. Experience - Minimum 5 years of professional experience in risk management and compliance - Proven track record of formulating and implementing risk and compliance management and operating practices. - Proficient in risk management, regulatory requirements. ideally also compliance frameworks and third-party risk management Knowledge of charity regulations is a plus, but not mandatory. - Excellent organisational, communication and presentation skills. - Experience in undertaking internal audit is preferred - Has experience working with a diverse set of stakeholders - Experience with non-profit organisations will be an advantage, but not mandatory Skills - Attention to details. - Strong stakeholder engagement skills. - Strong written and verbal communication abilities - Possess strong analytical and problem-solving skills. Personal Attributes - Ability to work independently and collaborate effectively in teams. - Demonstrate high level of integrity and possess a strong sense of accountability. - A strong team player who is willing to roll his / her sleeves up to help other team members. - Possess a “can do” and proactive learning attitude. - Collaborative and adaptable, with strong interpersonal skills. - Passionate about conservation and biodiversity, with a commitment to making a measurable impact Seniority level - Seniority levelMid-Senior level Employment type - Employment typeContract Job function - Job functionFinance and Sales - IndustriesTravel Arrangements Referrals increase your chances of interviewing at Mandai Wildlife Group by 2x IKEA Tampines - Risk, Control & Compliance Manager AML Compliance Risk Management Officer – Vice President Senior Manager- Risk & Regulatory Compliance Senior Compliance Manager - Fund Management Private Bank Singapore - KYC and Operations Lead, Vice President Senior Manager, Compliance (Base/ HQ: SG, Global KYC) Queenstown, Central Singapore Community Development Council, Singapore 3 months ago SENIOR MANAGER, INTEGRITY, GOVERNANCE & COMPLIANCE Senior Manager, Global Compliance & Ethics (Bangkok Based, Relocation Provided) Asset & Wealth Managed Services (AWMS) - Risk & Compliance Solutions - Manager SR&T Director, Regulatory & Financial Risk Asset & Wealth Managed Services (AWMS) - Risk & Compliance Solutions - Manager GM/ALM-T Transversal Compliance Officer - Regulatory reporting Senior Manager, FinCrime Compliance (Bangkok Based, Relocation Provided) Assurance Risk & Quality - Director, Independence Office Manager/Senior Manager (Stamp Duty & Compliance) Sr Vice President, APAC Client Change Lead - Fund Services Operations- Hybrid Treasury & Chief Investment Office - Business Manager - Vice President Head, Global Markets Valuation Methodology We’re unlocking community knowledge in a new way. Experts add insights directly into each article, started with the help of AI. #J-18808-Ljbffr Industry

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Financial Risk Specialist

Singapore, Singapore beBeeRiskManagement

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About the Role

As a member of our organization, you will play a crucial role in monitoring and mitigating risks associated with operations.

Key Responsibilities
  • Identify and assess potential risks
  • Develop and implement risk mitigation strategies

Our team is responsible for ensuring the company's operations run smoothly and efficiently. We take pride in our ability to adapt quickly to changing circumstances.

Requirements
  • 3+ years of experience in risk management
  • Degree in a relevant field (e.g. finance, business)
  • Strong analytical and problem-solving skills
  • Excellent communication and teamwork skills

We offer a competitive salary and benefits package, including health insurance, retirement plan, and paid time off.

About Us

Our organization is dedicated to providing exceptional service to our clients. We strive to create a positive work environment that fosters growth and development.

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Financial Risk Manager

Singapore, Singapore RANDSTAD PTE. LIMITED

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About the company
Our client, a leading life insurance company, is seeking to add a Financial Risk Manager to their team. This role is pivotal in managing and mitigating financial risks, including ALM, to ensure the long-term financial health and profitability of the company.
About the job
You will oversee the company's financial risk exposure, with a focus on Asset-Liability Management (ALM), and collaborate with actuarial and investment teams to evaluate and manage market, credit, liquidity, insurance, and ALM risks. You will develop and maintain risk models, conduct stress testing and scenario analysis, and provide insights to ensure an optimal balance between assets and liabilities. Additionally, you will contribute to the development of risk management strategies, prepare detailed reports for senior management, and stay updated on industry trends and regulatory changes.
Skills and experience required
At least 6 years of experience in financial risk management, actuarial work, or a related field in the insurance industry. The ideal candidate will have strong analytical and quantitative skills, expertise in risk management tools and ALM techniques, and the ability to communicate complex findings effectively to both technical and non-technical audiences. In order to succeed, you should have a solid understanding of financial markets and regulatory requirements within the insurance industry.
To apply online please use the 'apply' function, alternatively you may contact Lynette Lim.
(EA: 94C3609/ R
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Financial Risk Specialist

Singapore, Singapore beBeeCompliance

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Job Overview


We are seeking a skilled professional to fill the role of Compliance-KYC Analyst. This position is responsible for performing daily name screening of existing corporate and financial institution customers, reviewing screening results, and assessing materiality of true or potential matches.


Key Responsibilities
  • Conduct daily name screening of existing IBG corporate and financial institution (FI) customers and virtual account name screening.
  • Review all screening results and determine true/false matches by conducting internal checks and/or public domain searches.
  • Assess materiality of true or potential matches and make independent decisions to determine those that warrant a trigger review guided by internal policy.
  • Work under time pressure, high volume, and manage individual book of work independently to meet tight deadlines.

Requirements
  • Minimum of a Bachelor's degree in a relevant field.
  • At least 1-3 years of experience in name screening with a strong background in AML/KYC.
  • Familiarity with vendor systems such as Dow Jones/Factiva.
  • Strong analytical ability and problem-solving skills.
  • Good verbal and written communication skills.
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Financial Risk Specialist

Singapore, Singapore beBeeFinancial

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Job Overview

This is an exciting opportunity to work for a leading financial institution in Singapore. As a Financial Analyst, you will be responsible for ensuring margin call processes are in accordance with CSA/GMRA/GMSLA/PAD agreements.

Key Responsibilities

  • Manage bilateral margin call processes, including calculations, issuance, receipt, agreement, and settlement of margin calls in an accurate and timely manner.
  • Manage Regulatory Initial Margin call processes via triparty custodian.
  • Manage OTC cleared margin call processes with clearing brokers and clearing houses.
  • Handle process exceptions, such as non-receipt of payments and no response to margin calls.


Requirements

- Bachelor's degree in Finance, Banking, Business

- Minimum 1-3 years operations experience, especially in collateral management

- Familiar with OTC derivative product and valuation

- Team player with excellent communication skill

- Ability to work in a fast-paced environment and drive required outcome

- Possess a curious mind to constantly look for improvements

- Proficient in MS Office Applications

About This Role

This position offers the ideal candidate a challenging and rewarding career path in a dynamic organization. The selected individual will have the opportunity to develop their skills and knowledge in a collaborative and supportive team environment.

What We Offer

We offer competitive compensation packages, opportunities for professional growth and development, and a comprehensive benefits program that includes medical, dental, and vision coverage, as well as retirement savings plan.

Contact Us

If you are a motivated and detail-oriented individual looking for a new challenge, please submit your application today.
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Financial Risk Professional

Singapore, Singapore beBeeAudit

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Audit Senior

We are seeking a highly motivated and dynamic professional to join our organization as an Audit Senior. As an Audit Senior, you will play a key role in providing high-quality audit services to clients, with a focus on leadership, commitment, and trustworthiness.

Key Responsibilities
  • Perform significant risk assessments and audit procedures according to an audit plan
  • Assess audit evidence to derive conclusions in response to audit objectives
  • Analyse matters arising from audits with the engagement leader/manager
  • Ensure proper documentation and audit file quality

Our ideal candidate will possess:

  • A degree in accountancy or accounting discipline
  • The designation as Chartered Accountants (Singapore) or equivalent
  • At least 2-4 years of audit experience, including experience in audit engagements of public-listed companies
  • Strong interpersonal and communication skills
  • Meticulous, diligent, committed, and self-motivated individual who can work independently with minimal supervision

We offer a challenging career with opportunities for growth and development towards audit director and partner roles.

Candidates should have strong analytical and problem-solving skills, with the ability to communicate complex ideas effectively.

Audit seniors will be responsible for managing small to medium-sized audit teams, ensuring that all tasks are completed efficiently and effectively.

This is an excellent opportunity for individuals looking to advance their careers in auditing.

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Strategic Financial Risk Manager

Singapore, Singapore beBeeRiskCapitalValidation

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Job Description ","

We are seeking a skilled Risk Capital and Validation Analyst to join our team. As a critical member of our organization, you will play a key role in ensuring the bank's resilience and stability in the face of uncertainty.

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Financial Risk Management Specialist

Singapore, Singapore beBeecollections

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Job Title: Financial Risk Management Specialist

Job Description:

We are seeking an experienced and detail-oriented Financial Risk Management Specialist to oversee our financial operations. This pivotal role ensures the company's financial stability by efficiently managing receivables and minimizing bad debts.

The ideal candidate will possess strong analytical skills, exceptional leadership capabilities, and experience in credit management and collections processes.

Responsibilities:

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Financial Risk Management Professional

Singapore, Singapore beBeeRisk

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Job Overview:

We are seeking an experienced and detail-oriented professional to manage and monitor investment and market risk activities for a well-established financial institution in Singapore.

This role offers the opportunity to work closely with front-office and back-office teams, coordinating on the processing of investment transactions and setting up/maintaining investment and market risk transaction limits in internal banking systems.

  • Coordinate with front-office and back-office departments to process investment transactions.
  • Set up and maintain investment and market risk transaction limits in internal banking systems; handle necessary limit adjustments.
  • Monitor risks associated with the investment portfolio, including market, liquidity, and credit risks—particularly for financial institutions (banks and non-banks).
  • Propose timely and appropriate risk mitigation strategies based on material developments and changes in the risk environment.
  • Prepare regular risk reports covering market and liquidity risks, including regulatory submissions.
  • Implement policies and risk management instructions from both local and head office directives.
  • Participate in User Acceptance Testing (UAT) for risk and investment-related systems.

Requirements:

  • Bachelor's degree in Banking, Finance, Accounting, or a related field. Professional qualifications such as ACCA, CFA, or FRM are advantageous.
  • At least 5 years of relevant experience in banking risk management, particularly in investment, market, or liquidity risk, or accounting reporting.
  • Strong understanding of macroeconomic and industry-related developments.
  • Solid product knowledge across bonds, FX, cross-currency swaps, interest rate swaps (IRS), options, and other treasury or investment instruments.
  • Proficient in liquidity risk frameworks and practices.
  • Able to perform under pressure and manage tight reporting deadlines.
  • Ability to draft market risk analysis reports in Chinese.
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Financial Risk Management Specialist

Singapore, Singapore beBeeRiskManagement

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Financial Risk Management Specialist

The Financial Risk Management Specialist will be responsible for managing financial risks across various investment transactions, ensuring effective risk mitigation strategies are implemented.

  • Liaise with Branch departments to process investment transactions and manage associated risks.
  • Establish and adjust investment/market risk transaction limits within the banking system.
  • Monitor investment portfolio-related risks and propose relevant risk solutions.
  • Complete risk management reports on market risk, liquidity risk, and other reporting duties.
  • Implement designated risk-related policies and instructions.

This role requires a skilled professional in financial risk management with expertise in credit risk management, operational risk management, and risk assessment. Strong analytical skills and communication skills are essential for this position.

About this role:

  • Key Responsibilities:
  • Liaise with Branch departments to process investment transactions and manage associated risks.
  • Establish and adjust investment/market risk transaction limits within the banking system.
  • Monitor investment portfolio-related risks and propose relevant risk solutions.
  • Complete risk management reports on market risk, liquidity risk, and other reporting duties.
  • Implement designated risk-related policies and instructions.

Requirements:

  • Expertise in credit risk management, operational risk management, and risk assessment.
  • Strong analytical skills and communication skills.
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Financial Risk Management Professional

Singapore, Singapore beBeeCreditRisk

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Job Title:

Credit Risk Control Manager

Job Description:
  • Evaluate creditworthiness of small and medium-sized enterprise (SME) working capital loan and personal loan applicants.
  • Conduct detailed financial analysis to assess repayment capacity and ensure loan approval aligns with the institution's risk appetite.
  • Develop, implement, and maintain effective credit policies and procedures in line with regulatory requirements and business objectives.
  • Regularly review and update credit risk frameworks to adapt to changing market conditions.
  • Monitor and analyze the loan portfolio to identify potential risk concentrations and ensure adequate risk diversification.
  • Ensure credit risk practices comply with relevant regulations and guidelines.
  • Liaise with internal teams to align credit risk strategies with business goals.
  • Provide training and guidance on credit risk best practices.
  • Generate regular credit risk reports highlighting key trends, exceptions, and recommendations.
Requirements:
  • Bachelor's degree in Finance, Accounting, Business Administration, or related fields.
  • Professional certifications such as CFA or FRM are a plus.
  • Minimum 7-10 years of experience in credit risk management, preferably within SME lending or personal loan sectors.
  • Proven track record in developing and implementing credit risk strategies and frameworks.
  • Strong analytical skills and ability to interpret financial statements.
  • Excellent knowledge of regulatory requirements and credit risk guidelines.
  • Strong leadership and decision-making abilities.
  • Effective communication and stakeholder management skills.
  • Detail-oriented and highly organized with a proactive mindset.
  • Strong problem-solving skills and ability to manage high-pressure situations.
Benefits:

This role offers a challenging and rewarding career opportunity for an experienced credit risk professional.

Others:

We regret that only shortlisted candidates will be notified. Other applications will be updated to our database for future job opportunities.

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