Description Primary Objective: - Review and enhance the climate risk analytics related process.- Coordinate the discussions with the stakeholders, management and regulators on climate risk analytics related matters.- Review and enhance climate risk appetite/ metrics/ targets and concentration risk, climate concentration risk methodology.- Review and enhance climate risk based portfolio analytics and reporting.- Calculate Financed Emission for RHB Group, including overseas operations.- Provide data driven analytics, financed emission tracking, tools and other support to Business Units to enable portfolio steering towards meeting net zero objectives for the Group.Key Responsibilities: Management & Control:-Climate Risk Analytics- Develop and enhance the climate risk analytics processes, methodologies and models.- Manage and propose improvements on current climate risk analytics and methodologies;- Review the identified potential climate stress scenarios and risk drivers- Review climate policies and manuals related to climate risk analytics- Address any BNM CRR related to climate portfolio analytics.
Requirements Requirements: Bachelor Degree - Relevant degree in actuarial science, statistics, mathematics, economics, risk management and finance..
Minimum of 7 years of experience in financial institution, preferably in risk management and climate analytics- Strong knowledge of BNM Climate Change Taxonomy and other Climate related regulation/policy.- Strong managerial skills- Excellent analytical skill and capability to view and relate matters on an overall macro basis.- Strong statistical modeling knowledge- Strong credit risk model application in business and credit- Strong understanding of relational databases and data models- Strong programming skills in data handling and statistical modeling.
Benefits Dental, Education support, Miscellaneous allowance, Medical, Loans, Sports (e.g.
Gym), Parking, Vision, Regular hours, Mondays - Fridays, Casual Business Wear, Performance Based Rewards