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Job ID : 1509081 Date Updated : December 11th, 2024

PR/158217 | AVP Market Risk

Location Malaysia, Kuala Lumpur
Job Type Permanent Full-time
Salary Negotiable, based on experience

Job Description

Job Responsibilities: -

  • Responsible for Market Risk management in the organization

  • To market risk e.g. traded FX Limits, Interest Rate Risk in the Banking Book (IRRBB) reporting.

  • To maintain the policies, procedures and methodology related to market risk management.

  • To assist Unit Head or HOD in managing regulator and internal/external audit on market risk matters.

  • To monitor and review on Market Risk Conduct Assessment of the bank.

  • Involve in the production of Parent Bank and BNM market stress test

     

Job Requirements:-

  • Degree in Economics, Finance, Banking, Statistics, Actuarial Science, Mathematics or equivalent.

  • Minimum  4-6 years’ experience in Market Risk management

  • Familiar with Bank Negara Malaysia regulations and compliance

#LI-JACMY
#stateselangor

General Requirements

Minimum Experience Level Over 3 years
Career Level Mid Career
Minimum English Level Business Level
Minimum Japanese Level Business Level
Minimum Education Level Associate Degree/Diploma
Visa Status No permission to work in Japan required

Job Location

  • Malaysia, Kuala Lumpur

Work Conditions

Job Type Permanent Full-time
Salary Negotiable, based on experience
Industry Bank, Trust Bank

Job Category

  • Other > Other