Responsibilities
Perform the various initiatives assigned by Head of Risk Strategy & Governance Department Plan and lead the development and enhancement of the credit risk rating models, IFRS9 Expected Credit Loss models and stress-testing models Review the impact of the key risk areas for Basel III development and IFRS9 standards Requirements
University graduate or Relevant Qualified Qualifications Over 5 years of experience in Banking and Finance Hands-on experience in assessing risks arising from Head Office’s products Acquaintance with the regulatory requirements Good report writing and analytical skills Candidate with less experience can apply for “Risk Manager” Interested parties please send your detail resume in MS WORD format with current and expected salary
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