Start Date
Immediate
Expiry Date
10 Dec, 25
Salary
6343.0
Posted On
10 Sep, 25
Experience
0 year(s) or above
Remote Job
Yes
Telecommute
Yes
Sponsor Visa
No
Skills
Management Skills, Bau, Finance, Stress Testing, Financial Services, Data Analytics, Project Work, Regulations, Python, Statistics, Risk Frameworks, Deliverables, Economic Capital, Sql, Economics, Microsoft Excel
Industry
Financial Services
Job Overview:
We are seeking a motivated and analytical risk professional to join APAC Region’s Credit Risk Management Department. This role’s primary responsibilities include Concentration RiskManagement (with a focus on economic capital), Climate Change Risk Management initiatives, and provide support in Marketable Credit Risk assessments and monitoring. The successful candidate will be responsible for running business-as-usual (BAU) processes, driving enhancements, and actively contributing to projects and strategic initiatives. Candidates with experience in modelling, portfolio analysis, and scenario/stress testing will be highly regarded.
This is a unique opportunity to gain exposure to broad spectrum of risk domains, while supporting the development/enhancements of frameworks, tools, and risk insights that inform management decisions.
Job Requirements:
How To Apply:
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Concentration Risk Management
Climate Change Risk Management
Marketable Credit Risk
Cross-functional Responsibilities
Job Requirements:
We regret to inform that only shortlisted applicants will be notified.
Job ID: 1007262