JOB RESPONSIBILITIES:-
Market Risk Management: Ensure sound market risk management practices are in place, adhering to Parent Bank and BNM requirements for traded and non-traded market risk.
Monitoring and Reporting: Assist in monitoring and reporting market risk matters, ensuring they are within allowed limits or trigger points, and manage the production and analysis of periodic market risk reports.
Process Improvement: Support the development of Robotic Process Automation (RPA) and system enhancements to streamline processes and increase efficiency within the team.
Policy and Compliance: Review, manage, and maintain market risk management policies, procedures, and methodologies, and stay updated on BNM guidelines and market news.
Audit and Stress Testing: Assist in managing regulatory and internal/external audits on market risk matters, and participate in the production of market stress tests and related analyses
JOB REQUIREMENTS:-
Degree in Economics, Finance, Banking, Statistics, Actuarial Science, Mathematics or equivalent.
Minimum 4- 5 years Market Risk Management in Corporate Banking
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