Position Overview
Nomura is seeking a Market Risk Manager based in Singapore to manage market risk governance processes. This role requires at least 3 years of market risk experience and a quantitative degree. Responsibilities include daily monitoring of risk, liaising with trading desks to implement risk controls, and producing timely reports for management and regulators. Candidates should be proficient in Excel, VBA, and Python, with strong analytical and communication skills, and the ability to work independently and collaboratively.
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