Liaise with Branch's front-office and back-office departments in processing of investment transaction
Being responsible for investment/market risk transactions limit set-up in the banking system and limit adjustments
Monitor investment portfolio's related risks and other material developments, and to timely propose relevant risk solutions in accordance to market/liquidity/credit risk management and other risk related requirements. The credit risk management focuses on financial instiitutions (banks and non-banks).
Timely completing all risk management reports on market risk, liquidity risk and other reporting duties such as MAS craft and MAS 610.
Implementing Branch and Head Office's designated risk related policies and instructions
UAT of systems.
Job Qualification
Degree in Banking & Finance or equivalent
Bilingual in English and Mandarin capable of drafting reports in Chinese to submit to HO
Sound knowledge of relevant industrial and macroeconomic environments
Minimum of 2 years experience in investment/market/liquidity/risk management or accounting reporting
Solid product knowledge in bonds/FX/cross currency, IRS and other Treasury instruments and investment products
Sound knowledge in liquidity risk management
Ability to work under pressure and tight deadlines