Assistant Risk Management - Market Risk - Kuala Lumpur
The Company
A reputable full-fledged Islamic foreign Islamic Banks. They are committed to being a global bank, offering a complete suite of Shariah-compliant products in consumer, corporate, commercial, treasury, investment banking and asset management services.
The Role
The Assistant Risk Manager has the responsibility to Identify, analyze and report risks in all treasury products Prepare Market Risk report to Senior Management and Board Risk Committee.
Duties
- Monitoring of Treasury related transaction activities and report for limit breach.
- Review and update Policies relating to Market Risk.
- Manage Treasury related risks through various support structure such as limit Structure, sensitivity and risk reports.
- Preparation of ICAAP report. Other various risk management tasks as required
Bachelor’s Degree in Finance/Accountancy/Banking or equivalent.
At least 5 year(s) solid working experience in the related field and must be familiar with the process and the implementation of Basel III and other regulatory requirements pertaining to Market and Liquidity Risk Management.
Good analytical skills.
Culture & Benefits
Successful candidates can expect an attractive and competitive remuneration package based on qualifications and experience together with other benefits alongside with career advancement opportunities which shall commensurate with efforts and contributions.
To Apply
To apply online please click the ‘Apply’ button below. For a confidential discussion about this role, please contact Ann at +603 2036 7566
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