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Financial Specialist, Macroprudential Risk Analyst

1 month ago


Singapore ASEAN +3 Macroeconomic Research Office (AMRO) Full time
Job Title: Financial Specialist, Macroprudential and Microprudential Risk Analysis

The ASEAN+3 Macroeconomic Research Office (AMRO) is seeking a highly skilled Financial Specialist to join its Financial Surveillance Group. The successful candidate will be responsible for conducting macroprudential and microprudential risk analysis, stress testing, and other financial stability-related activities.

Key Responsibilities:
  • Assist the Group Head in planning and implementing the group's work plan to support AMRO's overall goals.
  • Conduct surveillance and risk monitoring of financial systems, focusing on macroprudential and microprudential trends, and identify emerging vulnerabilities and risks.
  • Analyze the impact of financial policies and market developments on systemic stability and provide actionable insights to policymakers.
  • Prepare and contribute to the ASEAN+3 Financial Stability Report (AFSR).
  • Lead and participate in stress testing exercises to assess the resilience of financial institutions and the broader financial system under adverse scenarios.
  • Contribute to AMRO's financial surveillance of member economies/region by participating in country missions, drafting reports, and capacity-building activities.
  • Support multi- and bilateral research activities by gathering and compiling data, undertaking econometrics and other modelling work, and writing reports.
Requirements:
  • A PhD or Master's degree in economics, finance, banking, or related fields.
  • 7-10 years of experience in macroprudential or microprudential risk analysis, stress testing, or financial surveillance, preferably in a central bank, international organization, or financial institution.
  • Strong analytical skills and deep understanding of global financial markets, regulatory standards, and financial stability issues.
  • Proven ability to work with large datasets, stress-testing models, and scenario analysis to assess financial system vulnerabilities.
  • Excellent teamwork, communication, and presentation skills, with experience in translating complex financial data into clear, actionable reports and recommendations.
How to Apply:
  1. An updated CV.
  2. A brief description of all relevant academic qualifications and work experience.
  3. The earliest possible start date.
  4. Referee details.