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Market Risk and Product Control Officer

GreenLane Singapore
Posted 5 days ago In-Office Job Permanent S$4k - S$6k
Posted by
Tiffany Chen
Our client, a prestigious and globally recognized bank, is seeking a Market Risk and Product Control Officer to join their Risk Management Department.

Main Tasks and Duties:

Daily Product Control:

  • Perform daily trade verification, P&L production, reconciliation, and analysis.
  • Conduct MTM (mark-to-market) valuation of financial instruments.
  • Monitor and control all approved limits, escalating breaches as necessary.
  • Conduct off-market rate monitoring, trade cancellation checks, and amendment verifications, escalating issues appropriately.

Market Risk Monitoring:

  • Perform daily market risk limit monitoring and reporting to various stakeholders.
  • Analyze and escalate breaches, maintaining and updating Excel templates.

Compliance and Maintenance:

  • Conduct periodic maintenance and updates of trader and counterparty limits, user access rights, and folder control in trading systems.
  • Review and update product control-related policies and procedures regularly.
  • Assist with AML/CFT manual.

Client Interaction and Support:

  • Maintain close and continuous contact with customers and monitor the industries in which they operate.
  • Proactively manage deteriorating credits and identify cross-sell opportunities.

Project Management:

  • Participate in and lead ad-hoc projects as assigned by the Team Leader or Department Manager.
  • Assess new and existing financial services and products.

Job Requirements:


  • Recognized bachelor's degree or above, preferably in Finance, Accounting, or related disciplines.

Working Experience:

  • At least 1 to 2 years of relevant experience in a similar capacity, with experience in risk management or product control being advantageous.

Language Proficiency:

  • Proficiency in English.
  • Fluency in Mandarin to liaise with Chinese-speaking stakeholders and counterparties.

Technical Skills:

  • Strong knowledge of Treasury products and derivatives, including valuation and market conventions.
  • Proficiency in financial modeling and MS Office, with the ability to read and write VBA code.
  • Experience with Bloomberg Terminal and Reuters Eikon is a plus.

Professional Certifications:

  • Certifications such as FRM, PRM, or CFA are advantageous.

Interpersonal Skills:

  • Excellent verbal communication and interpersonal skills to handle stakeholders across multiple departments.
  • Ability to work independently under pressure and meet tight deadlines.
  • Strong analytical skills and business acumen.
  • Team player with a proactive and results-oriented approach.

Other Requirements:

  • Ability to handle a high volume of work with meticulous attention to detail.
  • Strong commitment to compliance and risk management.


Greenlane is a recruiting firm based in Singapore, specializing in banking, trading, tech, and other industries. 

EA Licence No.: 20C0261 | Registration No.: R23118854

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