Enterprise, Market & Liquidity Risk Management - Specialist

Enterprise, Market & Liquidity Risk Management - Specialist
Company:

Ytl Digital Bank Berhad


Details of the offer

About the Team: Are you eager to elevate your career to new heights?
Join us for an exhilarating opportunity to pioneer our groundbreaking digital bank project, where boundless possibilities await!
We're thrilled to extend an invitation for you to join our vibrant team of visionaries, innovators, and trailblazers.
As a Enterprise Risk Manager, Market & Liquidity - Specialist of our digital bank project, we're not just offering a job; we're presenting an opportunity to be part of something extraordinary.
You'll collaborate closely with some of the sharpest minds in the industry, operating within a supportive and collaborative environment that fosters creativity and exploration.
Your next thrilling adventure awaits with our digital bank project.
Join us in shaping the future, today!
The Job Risk Governance  Support the maintenance of relevant ERM framework, policies, guidance and align risk governance in relation to all risk management framework, policies, guidance  Risk Appetite and Key Risk Indicators  Assist in monitoring Risk Appetite and Key Risk Indicators  Collaborate closely with relevant risk owners to manage monitoring mechanism for Key Risk Indicators, define relevant control thresholds     Enterprise-wide Stress Testing and Scenario analysis  Collaborate closely with relevant divisions (Business/ Ops/ Treasury/ finance), develop scenarios for financial stress testing and scenario analysis.
Perform periodic scenario analysis and stress testing for internal analysis.
Develop, Coordinate and perform Stress testing for BNM submission purposes (in future/after foundation phase)  Assist to perform ICAAP for BNM submission.
Assist to maintain and refine Exit Plan   Risk Register and Risk Treatment  Assist to maintain the Enterprise wide - Risk Register and corresponding Guideline,  Track risk management actions (accept/mitigate/avoid/transfer)  Work closely with other stakeholders in discussing, updating and closing/addressing risk register    Market & Liquidity Risk  Implement Market and Liquidity risk reporting and procedures  Perform Market and Liquidity analysis  Monitor all Liquidity and Market Risk Key Risk Indicators  Explore Liquidity Management systems (build or buy), develop business requirements, support implementation and testing.
Other Enterprise-Wide risk initiatives  Prepare risk management dashboard for submission to Management and Board.
Support the Risk team where relevant, in projects   Risk advisor to functional units  Requirement: Bachelors or above, preferably in a quantitative field (e.g.
: Statistics, Finance)  >3 years and above of relevant hands-on banking or fin-tech experience, handling liquidity, market, enterprise risk related portfolios  Familiar with BNM regulations on Risk Management Practices and other relevant regulations  Professional qualifications such as CA/ACCA/CPA/FRM would be advantageous  Strong knowledge in risk areas, banking products, services and systems  Problem-solving, positive and constructive attitude is a must  Possess data analytic skills, financial modelling skills  Possessing programming knowledge is advantageous  Self-motivated and detailed oriented team player who is able to multitask in a fast-paced environment  Knowledge in technology or data analytics  Strong interpersonal and communication skills  Flexible and agile to support the risk management team  Able to communicate confidently to senior stakeholders including management and board


Source: Talent_Ppc

Job Function:

Requirements

Enterprise, Market & Liquidity Risk Management - Specialist
Company:

Ytl Digital Bank Berhad


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