Position Title : Associate Analyst / Analyst, Market Risk, Risk Specialist & Technology Supervision Department
ROLE PURPOSE: Assist Associate Risk Specialist/Risk Specialist in ensuring effective implementation of strategic outcomes and coordination with other stakeholders in the financial stability sector of BNM.To ensure continuous horizontal surveillance across industry to identify emerging risk and managing risk to financial stability.PRINCIPAL ACCOUNTABILITIES: Assist in continuous horizontal surveillance across financial industry to identify , assess and manage emerging risks to financial stability.Assist in assessment on complex and technical areas to support supervisory assessment, policy development and surveillance.Assist in the review of internal measurement models, systems and methodologies to ensure in line with regulatory requirements and global best practices.Provide initial input on technical areas and views for policy development and new product approval. Participate in critical technical review of global regulatory reforms.Assist in capacity building of supervisors on technical areas.Work closely with relevant stakeholders in the bank and industry . Engage with RMs of supervision departments in order to ensure contributions by RSTS value-add in strengthening supervision.CRITICAL SUCCESS FACTORS: Ability to identify risks to stability through horizontal assessment of risks in FIs.Effective collaboration and networking with internal and external stakeholders.REQUIREMENTS: Candidate must obtain 5 credits in Sijil Pelajaran Malaysia (SPM) for subjects including Bahasa Melayu, English and Mathematics.Academic Qualifications: Bachelor's Degree in Finance or related discipline Accounting, Statistics, Mathematics, Finance, Data Scientist, Computer Science, Islamic Finance, Shariah, Python, actuarial, where applicable with a minimum CGPA of 3.00 and above or Second Class Upper.Possess minimum of 2 years of work experience in the related field.ONLY SHORTLISTED CANDIDATE WILL BE NOTIFIED