About Global Markets Division
The Global Markets Division (GMD) manages all SGX Group businesses building on the strengths of its multi-asset offerings and growth opportunities globally. The Global markets organization therefore oversees the groups markets and platforms across asset classes namely Equities Fixed Income Currencies Commodities including the Indices Data and Connectivity businesses as well as SGXs wholly-owned subsidiaries (SGX FX Energy Market Company Baltic Exchange & Scientific Beta).
GMD is structured largely by Business Units (BUs) as outlined below with cross support functions from Market Platforms & Services (MPS) and Business Management (BM) :-
1. Equities (EQT) covering cash equities securitized products fixed income as well as capital markets development
2. Derivatives (DER) Equity FX (including Crypto currency) and Rates Derivatives
3. Commodity Derivatives (CMD) including the Energy Market Company
4. Indices & Data Services (IDS)
5. Freight & Transport - including The Baltic Exchange (BEL)
6. SGX FX encompassing the OTC FX subsidiaries
The Role
This role is within the Business Management (BM) function which is a control cum middle office role supporting GMD and the BUs within. The role ensures internal control policy compliance (where applicable) and oversees GMDs operational risk assessments & audit reviews KPI performance tracking & analyses periodic BU management reporting as well as billings payment & procurement support.
Reporting into the Head of Business Management Global Markets Division this role as part of the Business Management function will be involved in the following tasks :-
Financial Control processes
Expense & related policy compliance & control
Month-end closing
Finance related attestations
Other Financial controls eg fixed asset verifications aged debtors grants reporting
Middle Office Support & Controls
Attestations & ongoing controls
Rebates management
Admin support
Process improvements & related error/gap investigations
Audit liaison
Policy Compliance
Policies Compliance Technology HR etc
Enterprise Risk Management framework & guidelines
Regulatory checklist reviews
Risk & Control Self-assessments
Business Management
Management reporting
Budget & 3-year planning
Performance target setting & management
Regulatory reporting
Projects Risk Champion forums subsidiary support
A Bachelors degree preferably in Accounting (otherwise Finance Business) with at least 4-8 years relevant experience. Good working knowledge of Financial services Securities and Derivatives products would be beneficial.
The incumbent should also be comfortable with numerical and data analysis possess strong problem-solving skills be resourceful and must not be hesitant to roll-up his/her sleeves to meet team objectives. Good written and verbal communication plus interpersonal skills would be necessary to work with and influence colleagues / 3rd parties (vendor or subsidiary staff of all levels) to perform this role.
Required Experience:
Exec
Asia’s most international, multi-asset exchange, operating securities, fixed income and derivatives markets to the highest regulatory standards.