Executive, Research & Risk
Kuala Lumpur, Malaysia | On-site
Are you passionate about financial markets, risk management, treasury operations, and corporate finance?
At MISC Berhad, we are looking for a motivated and analytical professional to join our Treasury team as Executive, Research & Risk, supporting financial risk management, market research, corporate finance activities, governance, and Treasury performance reporting across MISC Group.
What You'll Do
As the Executive, Research & Risk, you will:
- Support the management and monitoring of the Group's financial risk exposures, including borrowings, funding costs, interest rate risks, and foreign exchange risks.
- Prepare financial risk analyses, Key Risk Indicators (KRIs), risk reports, and mitigation recommendations for Management and relevant committees.
- Conduct research and analysis on macroeconomic trends, interest rates, foreign exchange movements, and capital market developments that impact the Group's business and financing activities.
- Develop market updates, forecasts, and insights to support Treasury and Corporate Finance decision-making.
- Support compliance with PETRONAS financial policies, regulatory requirements, and governance frameworks.
- Prepare debt covenant monitoring reports, regulatory submissions, and compliance reporting for internal and external stakeholders.
- Assist in Treasury budgeting, business planning, performance monitoring, and management reporting activities.
- Contribute to Treasury digitalisation, reporting enhancements, process improvements, and automation initiatives.
- Support financing and refinancing activities, including analysing funding options, coordinating documentation, and monitoring financing facilities and debt obligations.
- Collaborate with internal and external stakeholders, including Business Units, subsidiary companies, banks, auditors, regulators, and PETRONAS.
What We're Looking For:
- Degree in Finance, Accounting, Economics, or a related discipline.
- Minimum 6 years of relevant working experience in Treasury, Corporate Finance, Risk Management, or Audit.
- Strong understanding of financial risk management, funding structures, and treasury operations.
- Experience in financial analysis, market research, management reporting, and data analytics.
- Knowledge of debt financing, capital markets, regulatory compliance, and financial governance practices.
- Familiarity with Microsoft 365, Power BI, and data analytical tools.
- Familiarity with Bloomberg Terminal would be an added advantage.
- Professional qualifications in finance, accounting, treasury, or related disciplines would be an added advantage.
Key Skills
- Financial Risk Management
- Treasury Operations
- Corporate Finance
- Financial Market Research
- Economic & Market Analysis
- Debt Financing & Capital Markets
- Foreign Exchange Risk Analysis
- Interest Rate Risk Management
- Treasury Reporting
- Regulatory Compliance
- Financial Governance
- Budgeting & Planning
- Data Analytics
- Power BI
- Stakeholder Management
- Problem Solving
- Strategic Thinking
- Process Improvement & Automation
Why Join MISC Berhad?
Be part of a dynamic Treasury team where you'll gain exposure to large-scale financing activities, financial risk management, capital markets, and strategic decision-making that support the growth and sustainability of MISC Group. You'll work closely with key stakeholders across the organization while contributing to initiatives that drive financial resilience and long-term value creation.
Ready to grow your career in Treasury, Research & Risk? Apply now and be part of our journey.