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Senior Risk Analyst

Standard Chartered Bank · Singapore

Singapore · On-siteFull-TimePosted Jun 29, 2026

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Job description

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Requisition Number: 56884

Job Location: Singapore, SGP

Global Grade: Band 7

Work Type: Office Working

Employment Type: Permanent

Posting Start Date: 29/06/2026

Posting End Date: 13/07/2026

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Job Summary

Senior Market risk analyst is part of Traded risk team based in Singapore covering ASEAN markets. In this role candidate is exepcted to work with trading desk to ensure that all relevant market risk factors are properly identified and formally captured in official risk markets, Collect and aggregate data from multiple industry specific sources. Work with senior risk managers in market specific compliance programs.

Key Responsibilities

Strategy

Support the Market Risk strategy for ASEAN markets by developing technical understanding of the business, products, risk measures and limits structure, and by contributing to effective risk identification, monitoring and escalation.

Business

Provide risk and market analysis for monthly risk updates, highlight key risk issues where appropriate, and deliver ad hoc analysis in response to market events or business requirements.

Processes

Ensure effective management of operational risks within the Function and compliance with applicable internal policies, and external laws and regulations

Continuously improve the operational efficiency and effectiveness of Market Risk for Rates and Macro Trading

People & Talent

Lead through example and build the appropriate culture and values within the Function and across the wider organisation

Risk Management

Support the identification, measurement, monitoring and escalation of material market risk. Provide monthly regulatory returns and conduct review on FRTB capital requirement

Governance

Support alignment of the Group and country market risk management approach with the Risk Management Framework and applicable policies, and assist in ensuring risk exposures and related issues are appropriately reported to relevant governance forums.

Regulatory & Business Conduct

Display exemplary conduct and live by the Group’s Values and Code of Conduct.

Take personal responsibility for embedding the highest standards of ethics, including regulatory and business conduct, across Standard Chartered Bank. This includes understanding and ensuring compliance with, in letter and spirit, all applicable laws, regulations, guidelines and the Group Code of Conduct.

Effectively and collaboratively identify, escalate, mitigate and resolve risk, conduct and compliance matters.

Key stakeholders

Internal: Trading Front Desk; Product Control; COO office; Group Internal Audit; Group Operational Risk; Group Compliance.

External: The Group’s external auditors and local governance bodies.

Other Responsibilities

Embed Here for good and the Group’s brand and values in Risk – Traded Risk Management. Perform other responsibilities assigned under Group, Country, Business or Functional policies and procedures, including participation in ad hoc projects, user acceptance testing for market risk technology rollouts, and support to senior managers in preparing market commentary.

Our Ideal Candidate

3+ years of experience in Market risk, Financial Market products, MAS regulatory reporting, MAS FRTB SA

Strong knowledge and experience In Microsoft Office, VBA and Python,

Candidates with CFA and FRM certifications would be advantageous.

Excellent written and verbal communication skills required.

Bachelor’s degree in finance or a quantitative discipline such as Science or Engineering

Role Specific Technical Competenci

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