Try another search here
Not your type of job? Try your own search. Ok, got it

Want to receive similar jobs about "Offshore Instrumentation" by email?

Alert me

FiltersFilter search results

  • City
    • (1)
    • (1)
    • (1)
    • (1)
  • State
    • (5)
    • (2)
    • (1)
  • Category
    • (4)
    • (2)
    • (1)
    • (1)
  • Minimum Level of Studies
    • (8)
    • (8)
    • (4)
    • (4)
    • (4)
    • View more »
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
  • Working Shift
    • (8)
  • Posting period
    • (4)
    • (4)
    • (4)
    • (4)
Sort by:
  • Primary Location: Singapore,Singapore,Singapore Education: Bachelor's Degree Job Function: Sales Schedule: Full-time Shift: Day Job Employee Status: Regular Travel Time: No Job ID: 16057250 Description Job Description: As part of a dynamic business serving the Affluent Offshore customers

  • and validation of risk model parameters (E.g.: PD, LGD, EAD) for wholesale, SMEand/or retail banking portfolios. Expertise in risk strategy design and supporting analytics for banking portfolios. 2. Capital Markets: Strong understanding of financial instruments/ products across equity, fixed income, 1. MBA or Masters/PhD in a Quantitative discipline from a Tier I Institute 2. Strong academic credentials and ...

  • and validation of risk model parameters (E.g.: PD, LGD, EAD) for wholesale, SMEand/or retail banking portfolios. Expertise in risk strategy design and supporting analytics for banking portfolios. 2. Capital Markets: Strong understanding of financial instruments/ products across equity, fixed income, 1. MBA or Masters/PhD in a Quantitative discipline from a Tier I Institute 2. Strong academic credentials and ...

  • and validation of risk model parameters (E.g.: PD, LGD, EAD) for wholesale, SMEand/or retail banking portfolios. Expertise in risk strategy design and supporting analytics for banking portfolios. 2. Capital Markets: Strong understanding of financial instruments/ products across equity, fixed income, 1. MBA or Masters/PhD in a Quantitative discipline from a Tier I Institute 2. Strong academic credentials and ...

  • and validation of risk model parameters (E.g.: PD, LGD, EAD) for wholesale, SMEand/or retail banking portfolios. Expertise in risk strategy design and supporting analytics for banking portfolios. 2. Capital Markets: Strong understanding of financial instruments/ products across equity, fixed income, 1. MBA or Masters/PhD in a Quantitative discipline from a Tier I Institute 2. Strong academic credentials and ...

  • Income securities (Bonds, Structure Notes) as per client request. Execute and fulfills trades referred to Managed Products, consistent with Asset Allocation completed by the customer. Principal Responsibilities: Advises, Executes, & Fulfills: Builds offshore business and deepens relationships

  • Price, onsite, offsite, offshore, etc ...

  • as part of the client change delivery teams. The candidate would be expected to work on projects for a range of clients and apply fund accounting experience and a strong knowledge of fund administration functions to complete analysis work. Analysis will include working with the offshore operational teams on complex

Want to receive similar jobs about "Offshore Instrumentation" by email?

Alert me
Go to Top