Financial Risk Management Manager
Financial Risk Management Manager
At KPMG, we offer fascinating, challenging and well rewarded careers.
At KPMG, we offer fascinating, challenging and well rewarded careers.
Requirements:
- Candidate must posses a Bachelor's degree in Finance, Financial Engineering, Economics, Statistics. Masters in Econometrics is an advantage.
- Professional qualifications such as CFA, FRM are preferred.
- With relevant experience in the financial services industry, preferably in a major bank, consultancy firm or regulatory agency.
- Knowledgeable with pricing and valuation methodologies across all asset classes.
- Familiar with Basel and BSP requirements, ICAAP, PFRS9, provisioning and strong knowledge with risk management issues.
- Solid knowledge base on credit risk and IRB (internal rating based) modeling technique and PFRS9 impairment model.
- Programming experience in VBA, C, C#, R, MATLAB is highly desirable.
- Excellent analytical, problem solving and project management skills.
Job Description:
- Perform advisory services to implement risk framework and system for financial institutions.
- Implement credit and market risk related data analysis, model building, policy document writing, etc.
- Assist a growing specialist team and contribute to the career development of junior team members.
- Develop and maintain productive working relationships with client personnel.
- Build strong internal relationships with Advisory and across other services.
- Develop business opportunities and potential openings with clients.
We offer the successful candidate an attractive remuneration package and the opportunity to work in a dynamic and exciting environment.
To apply, please send your resume to ph-recruitment@kpmg.com.
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