About this role
What they're looking for
Frequently asked questions
What does a Associate, Market Risk Manager (Singapore) at Nomura Holdings, inc. do?
The role involves monitoring daily market risk for AEJ Macro, CVA, and Treasury, including the review of positions and limit breaches. It also requires managing Singapore regulatory reporting and collaborating with various control functions to embed a risk culture. Candidates need at least 3 years o…
What skills does this Associate, Market Risk Manager (Singapore) role need?
Key skills for this role include Market Risk Management, Macro Products Analysis, VAR Limits, Stress Testing, FX and Rates, Regulatory Reporting.
How much does a Associate, Market Risk Manager (Singapore) at Nomura Holdings, inc. pay?
The employer did not list a salary for this role. Most similar Singapore roles publish their band on the job page.
Is this Associate, Market Risk Manager (Singapore) role remote, hybrid, or on-site?
This role is on-site, based in Singapore.
How do I apply for this Associate, Market Risk Manager (Singapore) role?
You can apply directly on Nomura Holdings, inc.'s careers page. ApplyLah can tailor your résumé and cover letter to this exact role in seconds first.