Market Risk Manager

Selby Jennings
Full-time Singapore, SG.01 Other-General
Posted:
March 03, 2026
Location:
Singapore, SG.01, Singapore

Job Description

Our client is a Global Macro Hedge Fund who is hiring for a Market Risk Manager to be based in Singapore to support APAC trading activities.
Responsibilities for the Market Risk Manager - Macro Hedge Fund:
Assess proposed Trading initiatives, research their risk profiles, advise senior leadership on appropriateness and feasibility, and lead the onboarding of new strategies.
Create and refine controls for Risk Framework Development across asset classes
Develop and enhance Risk models tailored to trading books
Continuously oversee market, operational, and liquidity risks. Collaborate with operations and trading teams to investigate and address any limit breaches.
Collaborate with the wider business (Operations, Technology, etc) to build and implement new monitoring tools and processes.
Requirements for the Market Risk Manager - Macro Hedge Fund:
At least a Bachelor's degree in a quantitative field (e.g. Quant Finance, Statistics, Physics)
Minimum of 4+ years of...

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Job Overview

Job Type: Full-time
Location: Singapore, Singapore
Posted: March 03, 2026
Deadline: April 12, 2026