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Risk Management Group works closely with our business partners to manage the bank's risk exposure by balancing its objective to maximise returns against an acceptable risk profile. We partner with origination teams to provide financing, investments and hedging opportunities to our customers. To manage risk effectively and run a successful business, we invest significantly in our people and infrastructure.
Maintain high standards of work and technical excellence, including the research and analysis of latest practices, interpretation of regulator guidelines, and interpretation of policies and practices.
Strengthen the processes to support accurate data inputs, streamline processes, and enable timely and accurate reporting to senior executives and board of risk management committee.
Support and execute Pillar I, ICAAP, IWST and related projects pertaining to capital and stress testing.
Strengthen data quality and implement processes to improve the quality of inputs into calculation and reporting.
To take up ad-hoc assignments and related tasks.
Ensure issues or concerns raised by audit and validation are tracked and resolved promptly.
University graduate or post-graduate with major in Finance / Econometrics / Mathematics / Statistics or related quantitative disciplines.
Minimum 2-5 years of relevant experience in related areas.
Credit analysis skills a plus.
Strong leadership skills.
Strong analytical, numerical, and problem solving skills, with a deep knowledge on Credit Risk.
Good interpersonal and communication skills.
Strong team player.
We offer a competitive salary and benefits package and the professional advantages of a dynamic environment that supports your development and recognises your achievements.