Assistant Manager, Financial Risk Management

  • 36331
  • Life - Actuarial
  • |
  • Malaysia
  • |
  • Nov 27, 2019
  • To assist in the establishment, deployment and maintenance of the financial risk management framework and best practices.
  • To maintain financial risk measurement processes by using appropriate data modelling, qualitative and quantitative tools.
  • To assist in performance attribution analysis, the management and monitoring of financial risks.
  • To assist in financial risk monitoring and reporting under the Group Risk & Capital Reporting framework and assist in the development of risk-based reports.
  • To assist in the product / fund risk and compliance assessment done by all risk owners before and after product / fund launch as part of the annual product review.
  • To have the initiative and aspiration to improve and widen knowledge in relevant fields.
  • Knowledge of actuarial, investment, risk management, insurance or financial services operations, capital markets and insurance products will be added advantage.
  • Tertiary qualification in Business, Finance, Accounts, Actuarial Studies/ Insurance.
  • 1-3 years' experience in financial/operational risk management, financial modelling, product development or related area in the financial services industry.