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Chief Manager (Risk Management group)

10-13 Years
SGD 10,000 - 20,000 per month
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  • Posted 13 days ago
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Job Description

Job descriptions:

. Enhance the effectiveness and consolidate risk management framework (Market Risk, Credit Risk, and Organizational Risk) from the perspective of 2nd line of defence

. Triple hatted Role : Market risk management(MRM), Credit risk management(CRM), Organizational risk management(ORM)

. Develop and manage key strong stakeholders internally and externally.

. Collaborate with Head Office to establish and enhance robust framework, and report to Head Office in written Japanese including explaining verbally in Japanese, if necessary

. Prepare and analyze the materials for reporting to Authority, and including explaining to the Authority, if necessary

. Have a strong responsibility to make effective group to achieve action plan and contribute to the Branch, Work in partnership with colleagues in various groups

. Lead and manage the project in risk management for robust framework

. Adhere to all organizational policies, guidelines and procedure

. Coordinate or facilitate the Branch-wide committee for risk management

(MRM)

. Monitor market risk and prepare the risk reports with completeness and accuracy of market risk and liquidity risk

. Manage the transaction data and market curve or quote to calculate market risk accurately

. Monitor model and execute back test to ensure monitoring risk appropriately. And responsible for system methodology function

(CRM)

. Enhance lending guideline of the Branch for safe and sound finance

. Assess individual credit risk of each loan facility and also monitor the credit risk of portfolio level

. Monitor the credit risk daily based on quantitative and qualitative information

(ORM)

. Ensure the effectiveness of ORM framework(overall risk management)

. Monitor and oversee all the risks in the Branch for appropriate risk management

Job requirement:

. Bachelor degree in any discipline

. Preferably with relevant experience in related risk management area(MRM, CRM, ORM)

. Preferably with ability to lead, manage and supervise the teams and projects related to risk management

. Knowledge of products which are related to treasury investment, market risk, credit risk and organizational risk.

. Good communication skills required to engage diverse team of stakeholders across different group in the Branch, and Unit or Division in Head Office

. Proficient in Microsoft Office, especially in Excel and PowerPoint

. Ability to adapt organization change and demands of different stakeholders.

. Good knowledge of local and international laws and regulations is preferred

. Well organized and efficient time management with integrity

. Proficiency in both written and spoken Japanese to work closely with Japanese stakeholders in the related Unit or Division in Japan Head Office

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Job ID: 133333199