Associate, Market Risk Manager (Singapore)
Nomura is hiring a Market Risk Manager in Singapore to support the AEJ Macro, CVA, and Treasury businesses. The role involves daily risk monitoring, regulatory reporting, and maintaining oversight of Singapore legal entities. You will work with front office trading teams and other control functions to ensure effective risk management and governance. The position requires strong analytical skills and experience with market risk processes like VAR and stress testing.
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Experience
3+ years
Function
Finance
Work mode
Onsite, Singapore
Company
Tier 2
What you will work on
Nomura is hiring a Market Risk Manager in Singapore to support the AEJ Macro, CVA, and Treasury businesses. The role involves daily risk monitoring, regulatory reporting, and maintaining oversight of Singapore legal entities. You will work with front office trading teams and other control functions to ensure effective risk management and governance. The position requires strong analytical skills and experience with market risk processes like VAR and stress testing.
TAL's take
Stable global financial institution role with clear responsibilities and defined regional scope.
The JD provides a highly specific description of the risk management duties, regulatory requirements, and the products being covered.
Salaries at Nomura
21.7 LPA average
Based on 20 Grapevine salary entries for Nomura.
Finance
0 - 2 years | L1
15 LPA average
Range: 15 - 15 LPA
Finance
2 - 4 years | L1
20 LPA average
Range: 20 - 20 LPA
Finance
4 - 6 years
22 LPA average
Range: 22 - 22 LPA
Other roles
0 - 2 years | L1
18 LPA average
Range: 15 - 20 LPA
Must haves
- 3+ years of experience in market risk function
- Experience monitoring or analysing Macro (FX and rates) products
- Practical experience with market risk processes like VAR and stress testing
- Strong analytical and communication skills
Tools and skills
Nice to have: excel, vba, python.
About the company
Nomura is a major global financial services group, but is categorized as Tier 2 due to the specific nature of this local regional office role compared to global big-tech or high-growth fintechs.
Posts mentioning Nomura
Japan and Tokyo Governments Aim for $4.7 Billion Valuation in Tokyo Metro IPO
- Japan's national and Tokyo governments are targeting a 700 billion yen ($4.7 billion) valuation for Tokyo Metro's IPO, expected as early as October-end. - The governments, owning 100% of Tokyo Metro, plan to brief brokerages within a week and seek Tokyo Stock Exchange approval by mid-September. - The IPO could raise 350 billion yen, surpassing Kokusai Electric's IPO last year and becoming the largest since SoftBank Group's wireless unit listing in 2018. - Tokyo Metro, with a history dating back to 1920, runs 195 kilometers of lines and reported a net profit of 46 billion yen in the financial year ended March 2024. - Funds raised will help repay reconstruction bonds from the 2011 earthquake and tsunami, with Nomura, Mizuho, and Goldman Sachs as joint global coordinators. Source: [Reuters](https://www.reuters.com/markets/deals/japan-tokyo-governments-target-47-bln-valuation-tokyo-metro-ipo-sources-say-2024-08-19/)
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