416 Insurance Risk jobs in Singapore
Insurance Risk Management Manager
Posted today
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Job Description
- Consolidate the bi-monthly Enterprise Risk Management (ERM) dashboard covering operational, technology, compliance, and other risks.
- Support preparation and submission of group-wide risk reports to internal and external stakeholders.
- Assist in the annual Operational Risk Management (ORM) Business Continuity Management review.
- Undertake ad-hoc tasks as assigned.
- Take accountability for identifying business and regulatory compliance risks and implement mitigation measures.
- Stay updated on industry trends, regulatory compliance, emerging threats, and technologies to enhance risk management.
- Proactively highlight potential risks and share best practices in risk management.
Interested applicants may email resume to
Chooi Kelly (CEI Registration No: R25136207)
Recruit Express Pte Ltd (EA: 99C4599)
We regret only shortlisted candidates will be contacted
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Senior Professional Insurance Risk Manager Position
Posted today
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Operational Risk Manager (Insurance Sector)
We are seeking a seasoned professional to fill the role of Operational Risk Manager.
- Key Responsibilities:
- Conduct thorough risk assessments, identifying and mitigating operational risks, technology risks, and compliance risks.
- Support the preparation of group-wide reports for submission to stakeholders.
- Collaborate with internal teams to develop and implement effective risk management strategies.
- Assist in the ongoing review of business continuity plans and ensure adherence to regulatory requirements.
- Take ownership of proactive risk monitoring and provide timely recommendations to senior management.
- Maintain awareness of industry trends and emerging threats, ensuring the organization remains resilient in an ever-changing landscape.
- Identify potential concerns and share best practices with colleagues, fostering a culture of continuous improvement.
Requirements:
- Advanced understanding of operational risk management principles.
- Excellent communication and interpersonal skills.
- Ability to thrive in a fast-paced environment.
- Proficiency in Microsoft Office, particularly Excel.
- Knowledge of regulatory compliance, enterprise risk management, and risk mitigation techniques.
Insurance Risk Management Manager (6 Months Contract) #NKC
Posted 11 days ago
Job Viewed
Job Description
- Consolidate the bi-monthly Enterprise Risk Management (ERM) dashboard covering operational, technology, compliance, and other risks.
- Support preparation and submission of group-wide risk reports to internal and external stakeholders.
- Assist in the annual Operational Risk Management (ORM) Business Continuity Management review.
- Undertake ad-hoc tasks as assigned.
- Take accountability for identifying business and regulatory compliance risks and implement mitigation measures.
- Stay updated on industry trends, regulatory compliance, emerging threats, and technologies to enhance risk management.
- Proactively highlight potential risks and share best practices in risk management.
Interested applicants may email resume to
Chooi Kelly (CEI Registration No: R25136207)
Recruit Express Pte Ltd (EA: 99C4599)
We regret only shortlisted candidates will be contacted
Risk Analyst
Posted today
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Job Description
About Us
Complus Asset Management Limited is a global asset management firm founded in 2011, with offices in Hong Kong, Singapore, and London. We specialize in discretionary Global Macro investment strategies for international institutional investors. Our mission is to deliver stable, positive returns through thoughtful diversification, innovative trade structuring, and a disciplined approach to risk management.
Why Join Us?
As our strategies and systems grow in complexity, we’re strengthening our risk data and reporting foundation. We’re looking for a motivated Risk Analyst to join our Singapore office. This is a hands-on role where your work will have real impact — from untangling legacy data to shaping scalable, auditable risk infrastructure. You’ll collaborate closely with senior risk, tech, and portfolio management teams, gaining full exposure to the inner workings of a high-performing macro hedge fund.
If you’re logical, curious, and love solving complex problems with code, this is a unique chance to make a visible difference while learning from seasoned professionals.
Key Responsibilities
· Explore, understand, and organize our firm’s historical risk data and reports.
· Clean and structure data across databases, emails, and internal systems.
· Write Python/SQL scripts and tools to improve data checks and reporting efficiency.
· Assist in developing and enhancing risk models at both trade strategy and portfolio levels.
· Collaborate with Risk, Tech, and Portfolio Managers to verify assumptions and ensure data/model consistency.
· Maintain clear documentation and help set internal data standards for long-term usability.
What We’re Looking For
Required Skills:
· Proficiency in Python and SQL (MSSQL/MySQL).
· Strong logical reasoning, attention to detail, and persistence in problem-solving.
· Comfort with large, messy datasets and the ability to turn them into actionable insights.
· Excellent communication skills, both written and verbal.
Nice-to-Have Skills:
· Experience with web frameworks (ReactJS, Django, FastAPI).
· Familiarity with deploying/maintaining web apps (NGINX, Gunicorn).
· Understanding of financial markets and risk concepts.
· Experience with version control (Git) and collaborative workflows.
Qualifications
· Bachelor’s degree in Computer Science, Statistics, Finance, Mathematics, or a related field.
· Professional certifications (FRM, PRM, CFA) are a plus.
· Previous experience at a hedge fund, bank, or financial institution is helpful but not required.
What We Offer
· Competitive salary and medical insurance coverage.
· Direct mentorship from senior management in a high-impact role.
· Exposure to institutional-grade risk management in a macro hedge fund.
· Growth opportunities in quantitative, technology, or broader risk roles.
· A collaborative culture that values clear thinking and practical solutions.
· Flexible working hours with options for remote work.
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Risk Analyst
Posted today
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Job Description
The
Risk Analyst
role is responsible for providing assistance to BDO Singapore’s Risk Head in the following areas:
Implementation of the risk management framework in the Branch and ensures alignment of the relevant risk management policies and guidelines with Head Office (HO).
Identification, measurement, quantification, control, and reporting of the major risks of the Branch, which include but are not limited to, credit, market and liquidity, and operational risks.
Ensuring compliance with the policies and guidelines of the Bank and regulators, as it relates to risk management and data privacy ordinance.
Duties and Responsibilities:
Conducts credit evaluation on assigned accounts with regard to new exposures of the Branch and performs annual review of existing facilities.
Ensures all market and liquidity risk exposures are within approved limits, and all excesses/deviations are flagged and reported in accordance with established policies/guidelines.
Monitors the credit exposure of the Branch by country risk, industry concentration, rating profile, large exposures and asset quality.
Prepares the expected credit loss for loans & investments, and credit stress testing, in coordination with Head Office.
Assist in the review of the Risk & Control Self-Assessment (RCSA) and Key Risk Indicators (KRI) of the Business Units (BU) and Support Units (SU).
Qualifications:
Bachelor's degree graduate, preferably Business-course related.
At least 3 years experience particularly in the area of Credit, Market & Liquidity and Operational Risk Management.
Preferably Singaporean Citizen or a holder of Permanent Resident Visa.
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Risk Analyst
Posted 1 day ago
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Job Description
- Perform price risk reporting and analysis of trades, including VaR, stress loss, transactional reviews, and liquidity risk • Execute portfolio reviews including P&L explanation, risk factor and ad hoc analysis
- Perform analysis and reconciliations of OTC traded deals, intercompany trades
- Perform futures reconciliations to ensure positions are accurate and brokerage fees are updated within systems and enhancing the reconciliation processes
- Create, monitor, and improve daily and ad-hoc reports for suspicious, non-compliant, and/or at- risk trading activity
- Liaise with Operations, Finance, and other teams to identify operational risk issues
- Monitor daily P/L movements and provide detailed analysis on the causes for the PL move including main indices & spreads causing the PL move.
- Ensuring all deals are marked correctly in order to report an accurate PL. Including capturing spreads based on hedges locked for the relevant physical deals.
- Ensure daily volatility and correlation data are uploaded into CTRM and VaR report is generated. Analyze daily VaR change to find out the root clause to make sure changes reflect actual business situation
- Prepare monthly portfolio P/L reports highlighting main drivers for the P/L
- Co-ordinate with the traders to ascertain appropriate prices to mark tanks with the appropriate price index from Platt’s.
- Ensure internally executed trades flow properly from the Trading System to the Accounting system.
- Confirm trades with counter parties.
- Process swap payments reports, communicating and confirming payment details with counter parties prior to settlement.
- Liquidity Risk Monitoring
- Responsible for monitoring the cash balance sheet with Financial Institutions
- Monitoring the Margin Requirements for Financial Instituitions
Minimum Requirements
• Bachelor’s degree in engineering or another analytical discipline: Math/Physics/Economics/
• 2 years’ experience in energy risk assessment & analysis
• Previous use of CTRM
• Excellent use of Excel/Word/PowerPoint
• Understanding of various commodity types and their settlement procedures
• Energy Risk Monitoring & Reporting
• Excellent understanding of energy Risk Drivers & Metrics such as VaR
• Working knowledge of volatility/correlation estimations,
• Ability to act as a team member
• Excellent communication skills, both verbal and written
Risk Analyst
Posted 6 days ago
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Job Description
Your new company
This boutique financial institution in Singapore has been making waves since it’s inception and it is currently in high growth mode. The bank prides itself on fostering a dynamic and inclusive work environment where employees are encouraged to grow and develop their skills. As part of their expansion plan they are now seeking a Risk Analyst to join their team.
Your new role
As part of the bank’s expansion they are looking for highly skilled and motivated risk talents to join them. You will be reviewing and monitoring the bank's credit risk exposures across its various portfolios, conducting analysis on clients, updating credit profiles and assigning ratings and statutory gradings appropriately. You will also be participating in other credit risk projects focusing on data analytics and process streamlining. Aside from that, you will also be exposed to other risk management matters such as operational risk and other ad-hoc tasks or special projects assigned. This is suitable for someone who wants to do something beyond credit risk and strive to be an all-rounder instead.
What you'll need to succeed
For you to be successful in this position, you will have:
- A minimum of 3 years’ experience in credit risk with a reputable banking/financial services institution
- The willingness and eagerness to want to do something beyond credit risk
- Good knowledge of MAS612 or MAS Notice 111 would be an added advantage
- Excellent writing and communication skills with the ability to identify and articulate issues/observations
- The ability to work independently and in a flat structure
What you'll get in return
In return for your dedication and hard work, you will be rewarded with:
- A competitive salary and comprehensive benefits package.
- Opportunities for professional growth and development
- The chance to work with a leading financial institution and make a significant impact on its success
What you need to do now
If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now.
If this job isn't quite right for you but you are looking for a new Governance position, please contact Jet Wong at +65 6027 2245 or email for a confidential discussion on your career.
EA Registration No. R24124357
Company Registration No. 200609504D
EA License No. 07C3924
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Operational Risk Analyst
Posted today
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Operational/Risk Responsibilities
- Perform independent assessment of root causes and mitigating actions for issues/errors as well as any subsequent escalation and reporting
- Review BCP and coordinate Departmental BCP exercises
- Perform periodic review on system accesses
- Perform and lead RCSA exercise
- Provide oversight on the MIS for the department including Key Risk Indicators and other metrices or reporting, to facilitate escalations and timely resolution
- Conduct physical stock count and perform Stock Reconciliation
Project Management
- Maintain and monitor project plans, project schedules, work hours, budgets
- Assist and/or lead user requirement request, reviews and documentations
- Coordinate product walkthrough and user training
- Represent ops users in the project/initiative development process
- Document and follow up on actions and decisions from meetings, work with respective stakeholders to identify and define requirements, scope and objectives
- Participate in UAT for new products, system enhancements
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Credit Risk Analyst
Posted today
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We are seeking a detail-oriented Credit Risk Analyst to monitor risk exposures, conduct financial analysis, and support regulatory reporting. The role involves enhancing risk frameworks, contributing to projects, and ensuring compliance with policies.
Responsibilities:
- Prepare risk reports and analysis for senior management, governance committees, and regulators.
- Participate in risk committee activities, including preparing materials, documenting discussions, and following up on action items.
- Contribute to projects that improve risk reporting, streamline processes, and strengthen data analytics.
- Maintain accurate documentation for credit and operational risk policies and related processes.
- Conduct detailed financial reviews of customers, update profiles, and apply credit ratings in line with standards.
- Analyse and monitor credit exposures across lending, treasury, and investment portfolios.
- Investigate key risk drivers through targeted deep-dive analysis.
- Assist in reviewing and updating risk policies and methodologies.
- Support the testing, rollout, and review of new risk management systems.
- Take on special assignments and ad-hoc tasks to support the risk function.
Requirements:
- Minimum 2 years of experience in Credit Risk within banking, finance, or related fields.
- Strong analytical skills with the ability to interpret complex data.
- Excellent communication and stakeholder management abilities.
- Ability to prioritize tasks and work under tight deadlines.
- Proficiency in Microsoft Office; knowledge of MAS612, MAS Notice 111, and FRS109 is a plus.
If you are keen to explore and have a confidential chat, feel free to share your resume by applying for this role.
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Tech Risk Analyst
Posted today
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Key Roles and Responsibilities
• Conduct risk assessment on digital solutions and third parties. Identify potential risks and provide options to protect the OT critical infrastructure, ICT Infrastructure, application systems and cloud environment.
• Conduct compliance check on internal controls to ensure compliance with established policies and applicable regulations.
• Assist in developing policies, standards and guidelines to safeguard digital assets in adherence to business needs, industrial best practices and regulatory requirements.
• Provide advisory services to internal departments on business digital initiatives using Security By design / Zero Trust framework to ensure consistency in controls.
• Manage security projects and solution implementation activities that address cybersecurity risks.
• Plan, design and conduct cyber security incident response workshops and exercises (table-top exercises, simulation, and drills)
• Be aware of latest industry standards, regulatory requirements and the potential impacts to cybersecurity policies, standards and procedures.
Qualifications & Experience
• Minimum 5 years' experience in Cybersecurity, Risk and Compliance
• Knowledgeable in security standards or regulations such as NIST, ISO 27001, SOC2, CCOP (SG), PDPA (SG), GDPR(EU), MPLS(CN), Security by Design
• Technical know-how and experience in solutions such as (but not limited to)
· Cloud Infrastructure, e.g. Azure, AWS, Huawei, Ali
· loud compliance e.g., Cloud Posture Management, Workload protectio
· wareness Platform e.g., Proofpoint, Knowbe4
· etwork Security e.g., F/W, IPS, Remote Access, NAC, Data Diode
· ontent Security e.g., Web, Email protection
· nd point Security e.g., AV, EDR, DLP
· dentify Protection e.g. MFA, Privilege access management
· hreat Management e.g., SIEM, UEBA, NDR, ASM, BAS
· RC Tool e.g., RSA Archer
· ardening guidelines for MS products, Linux
· ulnerability Assessment and Application Testing Tool e.g., Tenable, Qualys, Veracode, Synopsys etc.
· ystem development lifecycle or DevOps framework
• Certifications such as CISA, CISM, CISSP, GICSP, CCSK, CRISC will be an added advantage
• Knowledge in OT solutions and security will be an added advantage
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