
Avp - Enterprise Risk Management
4 days ago
Posted by:
Katherine Ho
Recruiter
View profile & contact
Our client is an international top-tier bank with significant business footprints in Asia Pacific is urgently looking for an AVP - Enterprise Risk Management (ERM). The opportunity is based in Singapore, Asia Pacific coverage.
Some of the key responsibilities will include:
- The primary responsibility is executing ERM strategy in APAC that include stress testing, risk identification, and risk appetite. The work involves developing various methodology to analyze risks taken by businesses, set risk appetite level, and respond to crisis reporting, such that outsize risk in APAC division can be identified and managed. The role could involve sustainability and climate risk, working in collaboration with Reputational, Sustainability and Climate team, to deliver relevant regulatory asks.
- Develop and improve stress testing methodologies and capabilities
- Review monthly stress testing results that will be presented in Risk Management Committee meeting
- Works closely with other risk departments (e.g., credit, market, operational) to provide holistic and complete risk analysis
- Design stress scenario narrative and calibrate stress shocks for all risk factors
- Knowledgeable on Group stress testings such as Severe Flight to Quality (SFTQ) scenarios
- Support collation of material risks identified by the annual risk polling exercise
- Prepare presentations for senior risk management
- Connect the current news events and macroeconomic developments to determine their impact on the APAC portfolio
- Prepare Risk Appetite Dashboard and perform risk analysis (divisional and legal entities' level) for the APAC risk appetite measures
- Collaborate with Reputational, Sustainability and Climate Risk team to adopts their best-practices and to use consistent methodology globally
- Deliver tasks on sustainability and climate risks from APAC regulators such as Monetary Authority of Singapore
To be eligible for this role you will require:
- Minimum Bachelor or high degree in finance, business, math, science, or computer science
- Proficiency in R, Python, database, Excel or VBA
- Outstanding written skills: write concisely and organize information logically
- Proficiency in communication and presentation skills
- Knowledge in financial products, ESG (environmental, social and governance), or climate risk
- Experience in regulatory requirement
- Experience in any risk management as well as developing any models in the financial industry
EA Licence number: 16S8131
Recruiter Licence number: R1106582
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