Responsibilities
Liaise and manage business, operations and technology stakeholders
stablish, manage and control of project schedule and deliverables
Manage, track and articulate issues/risks/action items; work with respective product owners to address issues and provide update to stakeholders
Understand and adopt Project Management Life Cycle
As a Project Manager within Financial Markets Regulatory program, you will be involved in critical regulatory projects
Conduct in-depth analysis of FX derivatives trades to identify and assess potential risks
Develop and implement risk management strategies to mitigate the identified risks
Identify risks & issues and communicate them to the relevant people in a timely manner - assist with proposing & planning mitigating steps.
Determine Strategic Solutions / Proposals - focusing on long term efficiency, risk reduction and regulatory compliance
Monitor and report on the performance of FX derivatives trades, including P&L analysis and risk exposure assessment
Engage with internal and external stakeholders to communicate risk management strategies and recommendations
Skills/Requirement
Bachelor's degree in Computer Science or Information Technology with experience in banking product or operation domain
As banking PM, should have managed multiple implementation of end to end applications project. PMP Certified and familiar in Software Development Lifecycle best practices
Min. 7 years' experience in banking systems analysis, design, and development with good technical knowledge of IT systems
Good knowledge in web app programming, content API, management systems, database, and system design
Minimum of 10+ years of experience in FX derivatives risk management, trade operations,
data Management and data analysis
Minimum 10+ Years of experience in business analysis and Investment Banking with direct experience in front-to-back trade operations and regulatory reporting.
Strong experience in wealth management, Payments, Derivatives.
Familiarity with financial products - listed and OTC (IRS, Equities, FX, Fixed Income, swaps and rates/credit derivatives).
Proficiency in financial modeling and risk management software
SQL skills for data interrogation and analysis. XML and FPML expertise are preferred.
We regret to inform you that only shortlisted candidates will be contacted.
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