Position Overview
Responsibilities
- Prepare periodic regulatory reports relating to Basel capital framework for management and regulatory compliance.
- Prepare regular credit risk management reports providing portfolio analysis on trends, variances and key concerns for management and regulators.
- Engage with regulators and businesses on regulatory consultation exercise and quantitative‑impact‑study (QIS).
- Implement system solutions and assess new/ changes in regulations, from rules interpretation to data sourcing to system configuration.
- Participate in projects, audit exercise, process or system changes and RPM/GRM/Group’s initiatives.
- Provide training to business partners on Basel capital framework for capital impact awareness.
Qualifications
- At least 2 to 5 years’ experience in banking or risk management field.
- Degree in Mathematics, Finance, Statistics, Accounting, MIS or related area.
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