Risk Management Jobs in Kuala Lumpur - October 2026 - Urgent Hiring

Showing 5 jobs results for "risk management" in Kuala Lumpur
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KL City

  • Risk Analysis: Analyse market risk exposures, risk sensitivities and key risk drivers to identify trends, investigate significant risk movements, and assess changes in portfolio risk profiles.
  • Front Office Engagement: Build effective working relationships with Front Office and relevant stakeholders to understand trading activities, hedging strategies, portfolio positioning, and emerging risk exposures.
  • Limit Monitoring & Escalation: Monitor risk limit excesses and exceptions, conduct investigations, document observations, and ensure timely escalation and follow-up with relevant stakeholders. ...
Posted
16 days ago

KL City

  • Risk Analysis: Analyse market risk exposures, risk sensitivities and key risk drivers to identify trends, investigate significant risk movements, and assess changes in portfolio risk profiles.
  • Front Office Engagement: Build effective working relationships with Front Office and relevant stakeholders to understand trading activities, hedging strategies, portfolio positioning, and emerging risk exposures.
  • Limit Monitoring & Escalation: Monitor risk limit excesses and exceptions, conduct investigations, document observations, and ensure timely escalation and follow-up with relevant stakeholders. ...
Posted
10 days ago

KL City

  • Drives and contributes towards successful implementation of initiatives from CFS business units considering risk-rewards trade-offs and business risk appetite.
  • Provides active risk advisory in the operational, third party, outsourcing, business continuity management, customer information handling, business process controls, etc, to ensure processes/ controls are sound and robust to meet internal policies, guidelines, and applicable regulatory requirements.
  • Review and validate business units SOPs, process manuals, and control documentation to ensure alignment with regulatory requirements and Group-wide policies. ...
Posted
a month ago

KL City

  • Lead the analysis of market risk exposures across trading and banking portfolios, identifying key risk drivers, emerging trends, and material changes in risk profiles.
  • Provide independent challenge and insights on portfolio positioning, hedging activities, valuation drivers, and market developments.
  • Perform deep-dive investigations into significant risk movements and articulate key drivers to stakeholders. ...
Posted
3 days ago

KL City

  • Develop, implement, and maintain credit risk models supporting the Consumer, Small Business and Wholesale segments of the Group
  • Monitor, back-test and report performance of the models to ensure adherence to performance standards and early detection of weaknesses.
  • Develop and maintain user requirements, parameters and configurations of systems housing the models. ...
Posted
16 days ago

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