Deskripsi Pekerjaan
Join Hong Leong Bank as a Senior Executive in Risk Management, focusing on Global Markets Risk Control. This is an exciting opportunity to be part of our dynamic team responsible for identifying, assessing, and mitigating risks across global markets. As a key player in our risk management framework, you will play a crucial role in ensuring the bank's compliance with regulatory requirements while supporting our strategic objectives.
Our ideal candidate will have a deep understanding of financial markets, risk assessment methodologies, and regulatory compliance. You will collaborate with various departments to develop robust risk management strategies and implement effective controls. This role requires strong analytical skills, attention to detail, and the ability to make sound decisions in a fast-paced environment.
Hong Leong Bank offers a competitive compensation package, professional development opportunities, and a supportive work culture. We value diversity and inclusion and are committed to providing equal opportunities for all our employees. If you are passionate about risk management and looking to advance your career in the banking industry, we encourage you to apply.
Tanggung Jawab
- Monitor and assess market risks, including interest rate, foreign exchange, equity, and commodity risks
- Develop and implement risk management policies and procedures in line with regulatory requirements
- Conduct regular risk assessments and prepare comprehensive risk reports for senior management
- Collaborate with trading desks and other departments to ensure risk limits are properly monitored and enforced
- Stay updated on regulatory changes and ensure compliance with all relevant laws and regulations
- Participate in the development of stress testing scenarios and analyze their potential impact on the bank
- Provide training and guidance to junior staff on risk management best practices
Kualifikasi
- Bachelor's degree in Finance, Economics, Business, or related field; Master's degree or professional certifications (FRM, PRM, CFA) are preferred
- Minimum of 5 years of experience in risk management, preferably in banking or financial services
- Strong knowledge of financial markets, instruments, and risk assessment methodologies
- Experience with risk management systems and analytical tools
- Excellent analytical, problem-solving, and decision-making skills
- Strong communication and interpersonal skills with the ability to convey complex information clearly
- Ability to work independently and as part of a team in a fast-paced environment