Market and Liquidity Risk Officer at Tonik

Position Market and Liquidity Risk Officer
Posted 19 Jun 2026
Expired 19 Jul 2026
Company Tonik
Location Singapore | SG
Job Type Full Time

Job Description:

Latest job information from Tonik for the position of Market and Liquidity Risk Officer. If the Market and Liquidity Risk Officer vacancy in Singapore matches your qualifications, please submit your latest application or CV directly through the updated Jobkos job portal.

Please note that applying for a job may not always be easy, as new candidates must meet certain qualifications and requirements set by the company. We hope the career opportunity at Tonik for the position of Market and Liquidity Risk Officer below matches your qualifications.

Philippines - Risk

As the Market and Liquidity Risk Officer, you will help Tonik stay resilient by assessing and managing the bank’s exposure to market, liquidity, and interest rate risks. Your expertise will drive the development of robust risk management policies and processes, ensuring we are always prepared for economic shifts while maintaining optimal liquidity and financial stability.

Responsibilities
  • Risk Assessment: Assess the impact of market movements, interest rate changes, and other macroeconomic factors on Tonik’s financial position, and recommend strategies for mitigating potential risks.
  • Policy Development: Develop and implement risk management policies and procedures related to market, liquidity, and interest rate risk (IRRBB), ensuring they align with regulatory requirements and Tonik’s risk appetite.
  • Cross-Department Collaboration: Work with various internal teams to gather key information, ensuring effective risk management practices are integrated across all departments.
  • Risk Reporting: Prepare and present comprehensive risk reports to senior management, highlighting key risk metrics, emerging trends, and areas of concern.
  • Stress Testing & Scenario Analysis: Conduct stress testing and scenario analysis to evaluate Tonik’s balance sheet resilience under different economic conditions and stress events.
  • Risk Models & Tools: Contribute to the development and enhancement of risk models and methodologies for assessing market, liquidity, and interest rate risks.
  • Audit & Compliance: Collaborate with internal and external auditors to facilitate audits related to market, liquidity, and interest rate risks, ensuring compliance with regulations and internal standards.
  • Perform other tasks as assigned by Management to fulfill organizational and regulatory requirements.
Qualification
  • Bachelor’s degree in Finance, Economics, Mathematics, or a related field. A professional certification such as Financial Risk Manager (FRM) is a plus.
  • At least 2-3 years of experience in market, liquidity, and interest rate risk management, preferably within the banking industry or fintech environment.
  • Strong analytical skills with the ability to interpret financial data and risk metrics, and the capability to make data-driven decisions.
  • Solid understanding of risk models, methodologies, and regulatory requirements related to market, liquidity, and interest rate risk (IRRBB).
  • Experience in handling Internal Capital Adequacy Assessment Process (ICAAP) is preferred.
  • Experience in preparing and delivering clear and concise risk reports for stakeholders.
  • Excellent oral and written communication skills, with the ability to explain complex financial concepts to different audiences.
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Job Info:

  • Company: Tonik
  • Position: Market and Liquidity Risk Officer
  • Work Location: Singapore
  • Country: SG

How to Submit an Application:

After reading and understanding the criteria and minimum qualification requirements explained in the job information Market and Liquidity Risk Officer at the office Singapore above, immediately complete the job application files such as a job application letter, CV, photocopy of diploma, transcript, and other supplements as explained above. Submit via the Next Page link below.

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