Liquidity and Market Risk Supervisor
Closed at: 30-Sep-2024
Job Responsibilities
- Responsible to create Credit Deviation Report.
- Concentration Risk: Awareness of different kinds of concentration risk in order to have an effective Risk Management program.
- Risk Dashboard: Able to provides a set of quantitative and qualitive indicators of systematic risks within bank organization.
- Risk Monitoring: Identify the process of tracking and evaluation the levels of risk in an organization. As well as monitoring the risk itself, the discipline tracks and evaluates the effectiveness of risk management strategies.
- Portfolio Analytics Basis: Able to analyst data report and need to have strong math skills and be able to think critically about complex problems.
- Assist in project management of enterprise level risk projects.
Job Requirements
- Team player, committed to efficiency and effectiveness, strong interpersonal and communication skills, self-starter, highly motivated towards continuous professional development.
- Minimum Education Level: Bachelor’s degree in English literature or equivalent.
- Prior Experience: 3 years’ work experience in risk management and related areas
- Functional Competencies: Have strong analytical skills and an aptitude for working with numbers/statistics. Tech-savvy and proficient in organizing, developing and delivery of professional business presentations.
For the interested candidates, please send your updated cv to hr@hhbank.com or telegram: 015713999