Job Responsibilities:
- Assisting the Head of Risk Management in the direct oversight of the Company’s credit portfolio, market risk & liquidity risk management (mainly Interest Rate Risk via Asset & Liability Management). This would include the implementation of the credit, market and liquidity risk framework, policies and procedures.
- Providing accurate and appropriate risk information and opinion for Asset and Liability Management Committee (“ALCO”) and credit portfolio reports for (Credit Portfolio Committee (“CPC”).
- Performing in-depth, ad-hoc analysis and formulating an opinion and escalation to Senior Management as needed.
- Provide support for regulatory requests eg. Provision of regulatory reports and analysis.
- Effective collaboration with Finance, Marketing and Loan Admin Departments for credit, market and liquidity risk related matters.
Job Requirements:
- Bachelor Degree in Finance, Economics or quantitative specialization
- With 1 - 3 years’ experience in risk management or relevant field.
- Excellent communication skills
- Strong knowledge in credit analysis is an advantage.
HOW TO APPLY:
Interested applicants, please click on “Apply Now”. We regret only shortlisted candidates will be notified.
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