Murex Market Risk Consultant

Singapore, Singapore $13200 - $144000 Y DNA INFOTECH PTE. LTD.

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Job Description

  • Responsibilities:


• Prime role is to act as a Risk Consultant for upgrade project across IT and the business
• Work with different IT teams across infrastructure, and other divisions to deliver system solutions for the business.
• Build a strong relationship and manage expectations with users and stake holders.
• Candidate is expected to be fully hands-on when managing his assigned tasks and while acquiring the necessary skills as expected of his role and responsibilities. An independent worker who can multi-tasks is a must have quality
• It would involve Build, Test & Recon of Market Risk views, Stress Test Reports

  • Mandatory Skills:

o Market Risk

o Murex > Enterprise risk > Market Risk Limits via MRAL

  • Mandatory Skills Description:


• 3+ years in Market Risk & 5+ years in Murex testing is required for one of the major financial software (Murex) in a Banking environment
• Good knowledge on VaR, Murex Stress testing, Automation Testing
• Good knowledge and hands on experience on MRE , ERM & Market data configuration , Debugging and development
• Good hands on experience on relevant technical skills ( SQL , Shell Scripting , Python and Ant Scripts)
• Hands-on business analysis role to analysis, process changes and functional requirements.
• Good technical background
• Team player with good communication & inter-personal skills.
• Candidate must have strong verbal and written communication skills in English

  • Nice-to-Have Skills Description:

MLC & Collateral knowledge

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consultant, risk management

Singapore, Singapore $100000 - $150000 Y GLOBALCATALYST INTERNATIONAL PTE. LTD.

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Job Description

Responsibilities

  • Innovative Development: Build risk management models including simulation of diverse market environments.

  • Risk Assessment: Implement tests to validate models and assess various risks under stressed scenarios.

  • Market Analysis: Monitor and manage market liquidity risks, insolvency risks, and other specific risks.

  • Strategic Design: Design methodologies/models for risks volatility and product pricing.

  • Collaboration: Communicate effectively within and across teams to align project requirements and visions.

  • Client Satisfaction : Execute client requests such as risk models' testing, simulations, portfolio rebalancing/transitions, portfolio style analysis and portfolio risk decomposition, and exposure management.

Requirements

  • Mathematical Expertise: Strong foundation in mathematics, especially in probability theory, statistics, and numerical methods.

  • Financial Acumen: Good understanding of financial derivatives, market microstructure, and options pricing models.

  • Technical Skills: Proficiency in quantitative programming languages such as Python, C++, or Go, with a strong focus on back-testing, simulation, and statistical analysis.

  • Independent Thinking: Ability to think independently and articulate complex ideas clearly and accurately.

  • Machine Learning: Exposure to machine learning techniques and their application to financial data would be beneficial.

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Financial Services Risk Management (Financial Crime Compliance), Senior Consultant, Risk Consulting

048583 Raffles Quay, Singapore $9000 Monthly Ernst & Young Advisory PTE. LTD.

Posted 5 days ago

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Job Description

At EY, you’ll have the chance to build a career as unique as you are, with the global scale, support, inclusive culture and technology to become the best version of you. And we’re counting on your unique voice and perspective to help EY become even better, too. Join us and build an exceptional experience for yourself, and a better working world for all.

The Opportunity

As part of the Financial Services Risk Management (FSRM) practice and you will provide a well-integrated broad array of risk management services to capital market participants within global banking, capital markets, asset management and insurance. FSRM products and services include Anti-Money Laundering, Regulatory Compliance, Prudential Supervision, Bank Holding Company reporting, Credit Risk/ Capital Adequacy/ Liquidity Risk, Market Risk, Operational Risk, Enterprise Risk, Structured Finance and Quantitative Advisory Services.

Your Key Responsibilities

As Senior Consultant in the Risk Management – Financial Crime Compliance team, you will be expected to provide strategic sourcing services related to regulatory compliance, Financial Crime Compliance (FCC), corporate governance, enterprise risk management, internal controls and internal audit, to our clients in financial services (FS) industry. You are also required to assist organizations to maintain effective and efficient controls, in order to manage organizational and strategic risks. Also, to be able to contribute to our advisory business in FCC, where advisory services on FCC target operating models, business processes and internal controls are in compliance with regulatory requirements without compromising on customer experience that are provided to the client.

Skills and Attributes for Success

  • Good understanding of economic or market issues and the ability to interpret their impact on clients
  • Possess strong interpersonal and teaming skills
  • Leverage technology to continually learn, improve service delivery and maintain our leading-edge best practices
  • Strong presentation skills and proficiency in the use of PowerPoint, Word and Excel
  • Build an understanding of our solutions, share knowledge and be able to draw on subject matter specialists accordingly
  • Self-motivated with lots of energy and drive
  • Effective project management and teamwork skills

Ideally, you’ll also have

  • Post-graduate qualifications in AML/CFT or professional/ technical qualifications in risk management.
  • Experience with the design, development and implementation of framework and strategy, internal controls for financial services business processes

To Qualify for the role, you must have

  • Min 3 year relevant Financial Crime Compliance (AML/ CFT, Sanctions, Anti-Bribery & Corruption and Fraud) experience in banking, insurance, asset management, and/or in a big public accounting firm.
  • Strong understanding of expectations of regulators such as MAS and HKMA. Knowledge of other ASEAN jurisdictions’ AML regulations and environment, and practical experience in the industry a plus.
  • Knowledge of the global risk and regulatory environment, especially developments in the FCC space.
  • Graduate degree in law, finance or commerce preferred.
  • Industry related certification (e.g., CAMS or ICA diploma in AML)
  • Demonstrate strong planning, execution and reporting skills
  • Analytical skills; specifically, the ability to assess and decompose financial services industry processes utilizing a risk and control focus

What we look for

Highly motivated individuals with excellent problem-solving skills and the ability to prioritize shifting workloads in a rapidly changing industry. An effective communicator, you’ll be a confident team player that collaborates with people from various teams while looking to develop your career in a dynamic organization.

What we offer

  • Continuous learning: You’ll develop the mindset and skills to navigate whatever comes next.
  • Success as defined by you: We’ll provide the tools and flexibility, so you can make a meaningful impact, your way.
  • Transformative leadership: We’ll give you the insights, coaching and confidence to be the leader the world needs.
  • Diverse and inclusive culture: You’ll be embraced for who you are and empowered to use your voice to help others find theirs.

If you can demonstrate that you meet the criteria above, please contact us as soon as possible.

Apply now.

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Consultant – Risk

Singapore, Singapore $90000 - $120000 Y EVO OUTSOURCING SOLUTIONS PTE. LTD.

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Job Description

Responsibilities

  • As a Consultant in the Technology Risk team, you will be expected to deliver assignments of high-level client satisfaction, work independently, discuss and articulate your deliverables within the team, lead your team members to succeed in their assigned tasks including providing on-the-job coaching, share knowledge and be able to draw on subject matter specialist accordingly.

  • You will be contributing in IT risk strategy, embed an enterprise approach to risk management, optimize risk management functions and improve controls and processes.

Skills/Requirement

  • Candidates who possess professional certifications such as Certified Public Accountant (CPA), Certified Internal Auditor (CIA), Certified Information Systems Auditor (CISA) and Certified Information Systems Security Professional (CISSP) are highly encouraged to apply.

  • Basic familiarity with Technology Risks and Controls, Governance, Risk and Compliance tools

  • Basic knowledgeable in GRC tools configuration preferably with implementation experience in automating GRC processes using tools like Archer and Service now

  • Basic knowledge in the integration of the GRC tools with external data sources through API's and database integrations

  • Basic understanding of MAS regulations around IT risk management such as Technology Risk Management, Outsourcing and PDPA

By sending us your personal data and curriculum vitae (CV), you are deemed to consent to EVO Outsourcing Solutions Pte Ltd and its affiliates to collect, use and disclose your personal data for the purposes set out in the Privacy Policy available at evo- You acknowledge that you have read, understood, and agree with the Privacy Policy.

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Financial Risk Management Expert

Singapore, Singapore beBeeRiskManagement

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Job Description

Market Risk Officer

The Market Risk Officer plays a crucial role in the company's market risk management & analysis function. Key responsibilities include producing profit and loss (P&L) reports and analyzing risk exposures.

Key Responsibilities:
  • Develop and maintain market risk models to identify potential risks and opportunities.
  • Analyze historical data and market trends to inform risk management strategies.
  • Collaborate with cross-functional teams to ensure effective risk management practices are implemented across the organization.
Requirements:
  • A degree in finance, business or a related field.
  • At least 1 year of working/internship experience in risk management.
  • Experience in Oil, Gas, Energy, Chemical industry is preferred.
  • Strong proficiency in MS Office (including MS Excel) and Power BI.
This advertiser has chosen not to accept applicants from your region.

Financial Risk (Financial Services) Senior Consultant, Business Consulting

048583 Raffles Quay, Singapore $9000 Monthly Ernst & Young Advisory PTE. LTD.

Posted 5 days ago

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Job Description

At EY, you’ll have the chance to build a career as unique as you are, with the global scale, support, inclusive culture and technology to become the best version of you. And we’re counting on your unique voice and perspective to help EY become even better, too. Join us and build an exceptional experience for yourself, and a better working world for all.

We are the only professional services organisation who has a separate business dedicated exclusively to the financial services marketplace. Join Financial Services (FSO) and you will work with multi-disciplinary teams from around the world to deliver a global perspective. Aligned to key industry groups including asset management, banking and capital markets, insurance and private equity, we provide integrated consulting, assurance, tax and strategy & transaction services.

The Opportunity

Join the Financial Services Risk Management practice and you will provide a well-integrated broad array of risk management services to capital market participants within global banking, capital markets, asset management and insurance. FSRM products and services include Anti-Money Laundering, Regulatory Compliance, Prudential Supervision, Bank Holding Company reporting, Credit Risk/ Capital Adequacy/ Liquidity Risk, Market Risk, Operational Risk, Enterprise Risk, Structured Finance and Quantitative Advisory Services.

With so many offerings, you have the opportunity to develop your career through a broad scope of engagements, mentoring and formal learning. That’s how we develop outstanding leaders who team to deliver on our promises to all of our stakeholders, and in so doing, play a critical role in building a better working world for our people, for our clients and for our communities. Sounds interesting? Well, this is just the beginning. Because whenever you join, however long you stay, the exceptional EY experience lasts a lifetime.

Skills and Attributes for Success

  • Advise clients on financial risk issues in the financial services industry, focusing notably on quantitative analysis.
  • Deliver services in market risk, interest rate risk, counterparty credit risk, liquidity risk, model risk management and governance including model development/ validation and implementation, model/system documentation, model benchmarking and system implementation while establishing relationships with client personnel at appropriate levels.
  • Review and enhance Client’s Risk Management Framework. Assist Clients on Group Risk Management and support the Board Risk Management Committee in reviewing the risk management across the group.
  • Demonstrate technical capabilities and professional knowledge on Credit Risk, Market Risk, Liquidity Risk as well as Treasury.
  • Advise clients on end-to-end credit processes
  • Design and apply quantitative techniques to help institutions develop and validate financial risk modeling methodologies.
  • Formulate/ implement Enterprise Risk Management initiatives including risk quantification and portfolio risk managementPerform the practical application of advanced analytics techniques to help clients solve business problems and complex issues in the financial services industry.
  • Apply statistical, economic, financial, or mathematical theories to process input data into quantitative estimates, which are used for identifying and measuring risks, valuing exposures, instruments or positions, conducting stress testing, assessing adequacy of capital, measuring compliance with internal limits, or meeting financial or regulatory reporting requirements.
  • Validate and monitor model and scorecard performance and management information system.
  • Communicate and interpret technical concepts to both technical and non-technical client stakeholders.
  • Consistently deliver quality client services by leading teams, monitoring progress, managing risks and ensuring key stakeholders are kept informed about progress and expected outcomes.

To qualify for the role you must have

  • Min 3 years of progressive post-baccalaureate work experience in financial risk management (credit risk, market risk, liquidity risk) and quantitative analysis.
  • Bachelor/ Master degree in Mathematics, Statistics, Economics, Engineering, Finance or MBA degree in Finance or a related field.
  • CFA and FRM certification will be an added advantage.
  • Understanding of design and deployment of logical and physical structures in Banking risk & regulatory area (finance & treasury).
  • Detailed understanding of the overall financial risk management lifecycle and the policies, procedures and strategies employed to manage this risk.
  • Designing and developing quantitative methods and services for capital markets and derivative products.
  • Significant relevant consulting, risk management or business expertise within a Retail/ Commercial or Corporate bank.
  • Understanding or experience in following programming languages or tools will be an added advantage: R, MATLAB, Python, SQL, Tableau, Machine Learning etc.
  • Experience in following activities:Front Office (FO) pricing models, Market and Counterparty Credit Risk models, liquidity/ interest rate risk models, treasury function models, operational risk models or RWA computation as per Basel III/ IV.
  • Statistical and numerical techniques and the principles of the theory of probability and stochastic calculus.
    Functional knowledge related to some of the following: modeling knowledge of term structure, financial risks and derivative products (e.g., equity, FX, commodities, credit and interest rates), risk management, model development, model validation, advanced analytics (e.g., machine learning techniques).
  • Functional experience in market risk modeling and associated methodologies and their role in the overall risk management framework.
  • Experience in the benchmark rate submission process will be an added advantage
    Develop Probability of Default and Loss Given Default risk rating models for commercial & corporate borrowers
  • Develop time series Stress Test models to support capital planning initiatives
  • Support performance monitoring and model validation.
  • Assist in establishing, monitoring, evaluating and interpreting data with a risk management focus with an understanding of business strategy.
  • Demonstrate working knowledge of Credit Risk databases to provide data and analytical support to Senior Management.=
  • Perform data manipulation and analysis using SQL, SAS and other tools and present results and recommendations to Credit Risk Management.
  • Identify deviations from forecast/expectations and explain variances. Identify risk and/or opportunities.
  • Identify opportunities to leverage statistical solutions to solve business problems.
  • Present results to Senior and Executive Management.
  • Understand and adhere to the clients’ risk and regulatory standards, policies and controls in accordance with the clients’ risk Appetite. Identify risk-related issues needing escalation to management.

What we offer

· Continuous learning: You’ll develop the mindset and skills to navigate whatever comes next.

· Success as defined by you: We’ll provide the tools and flexibility, so you can make a meaningful impact, your way.

· Transformative leadership: We’ll give you the insights, coaching and confidence to be the leader the world needs.

· Diverse and inclusive culture: You’ll be embraced for who you are and empowered to use your voice to help others find theirs.

If you can demonstrate that you meet the criteria above, please contact us as soon as possible.

The exceptional EY experience. It’s yours to build.

Apply now.

This advertiser has chosen not to accept applicants from your region.

Murex Market Risk Lead Consultant

Singapore, Singapore $120000 - $360000 Y Luxoft

Posted today

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Job Description

Project description

One of our client (a leading bank of Singapore) is undertaking a strategic upgrade of its Murex MX.3 platform to enhance system resilience, support new product capabilities, and align with evolving regulatory and operational requirements.

This initiative includes upgrading from version b to 3.1.6x.x, onboarding the EQA and OSP Excess modules, and implementing comprehensive reconciliation, testing automation, and governance frameworks.

Responsibilities

Prime role is to act as a Risk Consultant Lead for upgrade project across IT and the business

Lead the requirement understanding to design and implementation of the market risk module in Murex (VaR, sensitivities, stress testing, etc.)

Lead the delivery of market risk workstreams in implementation or upgrade projects.

Track and report on milestones, risks, and dependencies.

Work with different IT teams across infrastructure, and other divisions to deliver system solutions for the business.

Strong knowledge of market risk measures (VaR, sensitivities, stress tests)

Understanding of risk regulation and internal risk frameworks

Hands-on experience with Murex Market Risk modules (VAR cube, dynamic simulation, MxRisk)

Familiarity with financial products: IRD, FXD, EQD, CRD, Commodities

Build a strong relationship and manage expectations with users and stake holders.

Candidate is expected to be fully hands-on when managing his assigned tasks and while acquiring the necessary skills as expected of his role and responsibilities. An independent worker who can multi-tasks is a must have quality

It would involve Build, Test & Recon of Market Risk views, Stress Test Reports

Ensure timely delivery of all market risk configurations and documentation.

Skills

Must have

10+ years of experience in Murex Market Risk is required

Good knowledge on VaR, Stress testing, back testing.

Good knowledge and hands on experience on MRE ,MRA, ERM & Market data configuration , Debugging and development, scenario generation.

Good hands on experience on relevant technical skills (SQL, Shell Scripting, Python and Ant Scripts)

Hands-on business analysis role to analyse, process changes and functional requirements

Good technical background

Team player with good communication & inter-personal skills

Candidate must have strong verbal and written communication skills

Murex upgrade experience

Nice to have

Understanding of Trade Life Cycle

Other

Languages

English: B2 Upper Intermediate

Seniority

Regular

Singapore, Singapore

Req. VR-

Murex ERM

BCM Industry

05/09/2025

Req. VR-

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Murex Market Risk Lead Consultant

Singapore, Singapore $104000 - $130878 Y LUXOFT INFORMATION TECHNOLOGY (SINGAPORE) PTE. LTD.

Posted today

Job Viewed

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Job Description

Prime role is to act as a Risk Consultant Lead for upgrade project across IT and the business

Lead the requirement understanding to design and implementation of the market risk module in Murex (VaR, sensitivities, stress testing, etc.)

Lead the delivery of market risk workstreams in implementation or upgrade projects.

Track and report on milestones, risks, and dependencies.

Work with different IT teams across infrastructure, and other divisions to deliver system solutions for the business.

Strong knowledge of market risk measures (VaR, sensitivities, stress tests)

Understanding of risk regulation and internal risk frameworks

Hands-on experience with Murex Market Risk modules (VAR cube, dynamic simulation, MxRisk)

Familiarity with financial products: IRD, FXD, EQD, CRD, Commodities

Build a strong relationship and manage expectations with users and stake holders.

Candidate is expected to be fully hands-on when managing his assigned tasks and while acquiring the necessary skills as expected of his role and responsibilities. An independent worker who can multi-tasks is a must have quality

It would involve Build, Test & Recon of Market Risk views, Stress Test Reports

Ensure timely delivery of all market risk configurations and documentation.

This advertiser has chosen not to accept applicants from your region.

Murex Credit Risk Lead Consultant

Singapore, Singapore $104000 - $130878 Y Luxoft

Posted today

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Job Description

Project description

One of our client (a leading bank of Singapore) is undertaking a strategic upgrade of its Murex MX.3 platform to enhance system resilience, support new product capabilities, and align with evolving regulatory and operational requirements.

This initiative includes upgrading from version b to 3.1.6x.x, onboarding the EQA and OSP Excess modules, and implementing comprehensive reconciliation, testing automation, and governance frameworks.

Responsibilities

Understand requirements and prepare solution design document

Participate in MLC configuration and development

Help in implementing New and Amendment of risk formulae as per the business requirement.

Create and Enhance LTS LRB Task

Build/Maintain MLC Datamart Reports

Scripting for EOD jobs

Trade life cycle and workflow enhancement (where required)

Prepare documentation of the changes

Perform SIT and regression testing.

Support user testing (UAT) phase

Support release activities

Support for post-deployment activities

Lead the technical upgrade of Murex MLC components, ensuring minimal disruption to business operations.

Perform impact analysis on existing configurations, workflows, and reports.

Coordinate with Murex vendor and internal teams for patching, hotfixes, and version-specific enhancements.

Skills

Must have

10+ years of experience in Murex Credit Risk report development

Experience in Murex Development

Experience in Simulation-based Reports and Risk Matrix-based reports, complex reports would be required

Good exposure dynamic tables, pre and post filters, feeders, batch of feeders, extractions, reporting tables, and processing scripts

SQL based reports and extractions

Optimization of feeders and reports would be an advantage

Ability to work proactively, independently when necessary, and display strong initiative.

MLC configuration and development

Implementing New and Amendment of risk formulae as per the business requirement

Creating and Enhancing LTS LRB Task

Building/Maintaining MLC Datamart Reports

Scripting for EOD jobs

Trade life cycle and workflow enhancement (where required)

Documentation of the changes

Murex upgrade experience

Nice to have

Understanding of Trade Life Cycle

Other

Languages

English: B2 Upper Intermediate

Seniority

Regular

Singapore, Singapore

Req. VR-

Murex ERM

BCM Industry

05/09/2025

Req. VR-

This advertiser has chosen not to accept applicants from your region.

Murex Credit Risk Lead Consultant

Singapore, Singapore $150000 - $200000 Y LUXOFT INFORMATION TECHNOLOGY (SINGAPORE) PTE. LTD.

Posted today

Job Viewed

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Job Description

10+ years of experience in Murex Credit Risk report development

Experience in Murex Development

Experience in Simulation-based Reports and Risk Matrix-based reports, complex reports would be required

Good exposure dynamic tables, pre and post filters, feeders, batch of feeders, extractions, reporting tables, and processing scripts

SQL based reports and extractions

Optimization of feeders and reports would be an advantage

Ability to work proactively, independently when necessary, and display strong initiative.

MLC configuration and development

Implementing New and Amendment of risk formulae as per the business requirement

Creating and Enhancing LTS LRB Task

Building/Maintaining MLC Datamart Reports

Scripting for EOD jobs

Trade life cycle and workflow enhancement (where required)

Documentation of the changes

Murex upgrade experience

Understanding of Trade Life Cycle

This advertiser has chosen not to accept applicants from your region.
 

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