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Not stated
Work mode
On-site
Experience
Some experience
About the role
This role sits in the Derivatives Competence Centre within Credit Risk Asia at a private bank in Singapore. You will support sophisticated trading clients and work across Credit Risk, Derivatives, Market Risk and Private Banking. It suits someone analytical and proactive who enjoys partnering with Front Office, Markets, Legal, Risk and Operations.
What you'll do
Structure and approve credit facilities for high net worth and ultra high net worth clients with FX and Equity OTC and exchange-traded derivatives activity.
Work closely with Relationship Managers and product specialists to support client business while keeping sound risk discipline.
Monitor trading exposure and review collateral and margin netting arrangements for complex client portfolios.
Credit Officer, Derivaties Competence Centre job at Julius Baer, Singapore | WorkJio
Handle margin shortfalls, limit excesses and portfolio risks.
Give expert advice on derivatives-related credit risk matters.
Support assessment of FX and Equity OTC and exchange-traded derivatives transactions and positions.
Build expertise in margining methodologies, collateral frameworks and netting arrangements.
Depending on experience, act as a subject matter expert or develop specialist expertise in trading-related credit risk topics.
Build trusted relationships with Front Office, Markets, Legal, Operations and Risk partners.
Support transaction execution through close collaboration with internal stakeholders.
Work with Legal and external counsel on specialised trading documentation where required.
Communicate risk recommendations clearly and credibly to senior stakeholders.
Contribute to projects on risk methodology, infrastructure and process enhancements.
Support automation and data-driven improvements to risk monitoring and reporting.
Participate in strategic initiatives involving margining systems, collateral management and risk analytics.
Collaborate with regional and global teams to drive best practices.
Demonstrate values and behaviours covering honesty and integrity, due care and diligence, fair dealing, management of conflicts of interest, competence and continuous development, adequate risk management, and compliance with applicable laws and regulations.
Good to know
Full time role based in Singapore.
Requirements
Experience in Credit Risk, FX trading, Market Risk or a related discipline
Strong analytical skills and risk judgement
University degree in a relevant discipline
Proactive, hands-on and solution-oriented
Excellent verbal and written communication skills
Team player able to work under pressure
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