Manager, Liquidity & Market Risk VN
- Hạn nộp
- 30/01/2027còn 112 ngày
- Ngày đăng
- 05/10/20265 ngày trước
- Nhóm vị trí
- Quản lý rủi ro, Treasury / ALM, Tuân thủ / Compliance
U&Bank không nhận hồ sơ, không thu phí.
Mô tả công việc
Liquidity and Market Risk:
- To drive in depth analysis on liquidity and market risk ratio as regulatory body requirements
- To ensure that the Bank comply with regulatory requirements in liquidity risk management
- Ensure compliance with regulatory guidelines and assist in regulatory and financial inspections
- Understanding rules, regulations and policies across CIMB and how these are interconnected and aggregated
- Take responsibility as a second line of defence for liquidity and market limit monitoring and address any potential risk issue
- Work with CIMB VN stakeholders and Group CoE to conduct luquidity/market stress test, funding test etc.
- Partcipate in the Bank’s funding plan.Provide analysis that is useful for the Bank to optimise funding cost as well as ensuring robust liquidity risk management.
Liquidity and Market Risk:
- Designing and implementing an overall risk management report for the organisation, which includes analysis of the regulatory ratios as well as internal observation ratios.
- Performing a risk evaluation: Evaluating the company’s risks, and comparing potential risks with criteria set out by the company such as limit and regulatory requirements
- Establishing risk appetite the company are willing to take
- Preparing risk management material (regulatory ratios, internal observation ratios)
- Explaining the internal risk posed by corporate governance to stakeholders
- Conducting Group policy and compliance audits, which will include liaising with related stakeholders
- Work closely with Group centre of excellence on technical liquidity and market risk models and analysis
- Drive to maximise the use data and analytic tools to perform analysis, automate liquidity and market risk calculation and reporting to achieve accuracy and automation.
Job Specification
A minimum of a Bachelor’s Degree or its equivalent in relevant fields, and in possession of relevant professional or post graduate qualifications
More than 8 years working experience of similar capacity.
Technical/Functional skills
- Knowledge of liquidity and market risk, credit risk, finance and accounting skills.
- Knowledge of regulatory requirements in relation to credit risk, liquidity risk, market risk, non-financial risk management.
- Decision-making.
- Demonstrated managing and leadership skills.
Personal skills
- Good communication and interpersonal skills.
- Highly motivated and committed.
- Capable to work as a team as well as organize, plan and work with minimal supervision.
Cách nộp
Lấy từ trang tuyển dụng của CIMB Việt Nam (ejox.fa.ap1.oraclecloud.com) · kiểm tra 09/10/2026Báo cáo tin
