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:

  1. Candidate must posses a Bachelor's degree in Finance, Financial Engineering, Economics, Statistics. Masters in Econometrics is an advantage.
  2. Professional qualifications such as CFA, FRM are preferred.
  3. With relevant experience in the financial services industry, preferably in a major bank, consultancy firm or regulatory agency.
  4. Knowledgeable with pricing and valuation methodologies across all asset classes.
  5. Familiar with Basel and BSP requirements, ICAAP, PFRS9, provisioning and strong knowledge with risk management issues.
  6. Solid knowledge base on credit risk and IRB (internal rating based) modeling technique and PFRS9 impairment model.
  7. Programming experience in VBA, C, C#, R, MATLAB is highly desirable.
  8. Excellent analytical, problem solving and project management skills.

 

 

 Job Description:

  1. Perform advisory services to implement risk framework and system for financial institutions.
  2. Implement credit and market risk related data analysis, model building, policy document writing, etc.
  3. Assist a growing specialist team and contribute to the career development of junior team members.
  4. Develop and maintain productive working relationships with client personnel.
  5. Build strong internal relationships with Advisory and across other services.
  6. 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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