Senior Risk Analyst - 6 month contract

  • 70,000 - 85,000
  • Singapour, Singapore
  • Intérim, Plein-temps
  • T+O+M , Numéro de Licence EA : 10C4170
  • 10 oct. 17 2017-10-10

Urgent requirement for a Risk Analyst with Experience in understanding Market, Liquidity or Capital Risk metrics is needed for an initial 6 month contract

My client, a leading financial institution with offices in Singapore have a need for a Risk analyst to join the team on an initial 6 month contract.

 

The positon sits within Group Risk Reporting which have an oversight of all areas of Risk (Credit, Market, Operational, Capital, Liquidity etc). Responsibilities of the role include facilitating the review, consolidation and presentation of risk information to enhance the effectiveness of the bank’s risk management and governance processes

 

 

Responsibilities

 

  • Facilitate the production and delivery of risk information reports (RIRs) for the Group Risk Committee, its sub-committees and the Board Risk Committee, on time and to required quality standards, working with multiple stakeholders across the Group. Develop a thorough understanding of risk metrics across all risk types to be able to challenge the validity of information submitted with sufficient rationale and reasoning
  • Support and coordinate the preparation of Risk Reviews and external disclosures relating to the annual, half-year and interim results announcements
  • Assist in the development of the Country risk information report template for footprint countries based on the analysis of feedback from stakeholders.
  • Maintain supporting documentation (e.g. guidelines, templates) relating to the Country risk information report template
  • Support the preparation of process excellence management information (MI) for the Corporate & Institutional and Commercial Banking business across all regions which is presented to Risk and Business senior management. Responsibilities include maintaining report specifications and definitions used to generate the MI and working closely with key stakeholders to enhance the overall process

 

 

 

Candidate requirement:-

 

  • Track record in maintaining good stakeholder relationships and managing multiple priorities at any one point in time
  • Fluency in written and spoken English
  • An eye for detail and strong analytical skills in appreciating risk and financial figures
    • Experience in risk reporting for a financial institution is preferable
    • Experience in understanding Market, Liquidity or Capital Risk metrics is preferable
  • Technologically competent
    • Confident in the usage of MS Power point, Excel and Word are a must
    • Basic background in programming is a plus
    • Experience in using Tableau and SQL a plus
  • A self-starter, willing to work under tight timelines when necessary and willing to take on new challenges
  • Strong communication skills

 

This is an exciting role which offers the chance to gain a broad exposure across all risk areas coupled with interactions with a vast range of stakeholders across the business (within all areas of risk, finance, investor relations and the business). It also provides the individual with insights into feedback from very senior stakeholders of the risk function and the bank

 

If you have the relevant experience & would like to explore this role, please send your CV in word format via the apply link