• handle market and interest rate risk analysis
  • conduct stress testing
  • conduct internal model back testing

2 hours ago

 

Applied
  • Identify, monitor and manage market risk exposure
  • Execute market risk policies and guidelines
  • Strong knowledge on equity, fixed income

2 hours ago

 

Applied
  • Global Presence
  • Opportunities for growth and development
  • Competitive remuneration package

02-Dec-16

 

Applied
  • Responsible for general risk management monitoring
  • Conduct stress testing
  • Monitor funds operate

01-Dec-16

Salary negotiable

Applied
  • Provide oversight in the management of market risk
  • Work collaboratively with the Group Financial Risk
  • Monitor market and liquidity risk exposures

28-Nov-16

Salary negotiable

Applied
  • Evaluate and validate pricing and VaR model
  • Monitor market and interest rate risk
  • Min. 5 yrs. risk mgmt exp, strong inn SQL, VBA

25-Nov-16

 

Applied
  • Degree in Risk Management / Financial Engineering
  • Degree in Statistics / quantitative discipline
  • 3 years’ experience in market risk management

25-Nov-16

 

Applied
  • Minimum 2 years experience in banking industry
  • Good understanding of Financial products
  • Sound knowledge of SQL and VBA

18-Nov-16

 

Applied
  • Manage the CRM section
  • Assist in developing and managing CRM policies
  • Manage ACL (Approved Counterparty/Client List)

16-Nov-16

 

Applied
  • handle market and interest rate risk analysis
  • conduct stress testing
  • conduct internal model back testing

11-Nov-16

 

Applied
  • Execute market risk policies
  • Work closely with senior management
  • Contribute to new business initiatives

09-Nov-16

Salary negotiable

Applied
  • Operational Risk / Internal Control domain focus
  • Exposure to Banking & Capital Markets sector
  • Investment product control experience preferred

09-Nov-16

 

Applied
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