- Lingkaran TRX Bandar Kuala Lumpur WP Kuala Lumpur Malaysia 55100

Lokasi Kerja
Penerangan Kerja
Kelayakan
Degree with major in Risk Management, Financial Engineering, Quantitative Finance/Economics, Actuarial, Statistics, Engineering or related discipline.
Ideally someone with more than 2 years of experience within market risk or trading risk management.
Knowledge of treasury product pricing, market risk methodology and trading risk attribution.
Strong quantitative skills, IT savvy with good technical/ analytic mindset, possession of good communication and problem-solving skills.
Self-starter, ability to work independently and a dynamic team player. Ability to multi-task and work well under pressure with commitment to deliver
Excellent oral and written communication skills in English with strong presentation skills.
Familiar with various treasury system is preferred.
Assertive and demonstrate capacity to communicate effectively across all levels.
Able to work under pressure and handle multiple tasks simultaneously in a fast-paced business
environment.
Dynamic, analytical and meticulous. Strong analytical skills.
Good project management skills and negotiation skills.
Strong grasp of Microsoft Office applications
Able to deliver projects on time.
Self-motivated and hands-on leader and a good team player.
Tanggungjawab
Generate trading and investment risk reports timely and accurately.
Daily analysis of market risk exposures and sensitivities, as well as limit monitoring for all treasury products.
Management of risk limit excesses.
Generate VaR and backtesting report.
Monthly reporting, e.g. Enterprise Risk Deck, ALCO report, market risk capital charge report and other management executive summary for trading and investment book.
New products assessment and controls. Assist in the development, implementation, and maintenance of sophisticated market risk models (if any) to accurately measure and manage the bank’s market risk exposures.
Work with front office traders/dealers, business management support, IT, Group Finance and Back Office on issues related to market risk.
Develop and enhance market risk monitoring tools and reports.
Participate in projects, process change, treasury system UAT and new product testing.
Assist in timely review of market risk limits, policies, guidelines and risk governance process to ensure adherence to market risk framework.
Rates Verification & Maintenance.
Ensure projects are aligned with the bank’s overall risk management strategy.
Maintain Treasury system requirements where relevant to Market Risk Management.
Coaching and career building of Market Risk management staff.
Represent the bank's market risk exposures to the regulators through submissions, etc.
Formulate the strategic direction for market risk development in the Bank through GALCO/GBRMC.
Manfaat
MRT - TUN RAZAK EXCHANGE
0.2 km
MRT - COCHRANE
1.0 km
MRL - BUKIT BINTANG
1.0 km
MRT - BUKIT BINTANG
1.0 km
LRT - PUDU
1.1 km
MRL - IMBI
1.1 km
MRT - CONLAY
1.2 km
MRT - CHAN SOW LIN
1.4 km
LRT - CHAN SOW LIN
1.4 km
MRL - HANG TUAH
1.5 km
LRT - HANG TUAH
1.5 km
MRL - RAJA CHULAN
1.5 km
MRT - PERSIARAN KLCC
1.8 km
MRT - MERDEKA
1.9 km
LRT - PLAZA RAKYAT
1.9 km
Peringatan Penting
Jangan pernah kongsikan maklumat bank atau kad kredit anda semasa memohon pekerjaan. Elakkan membuat sebarang pembayaran atau mengisi survey yang tidak berkaitan. Jika ada yang mencurigakan, sila laporkan iklan pekerjaan ini segera.