Market Risk Officer

22 hours ago


Taguig, National Capital Region, Philippines Maybank Full time $80,000 - $120,000 per year

Your Role

The
Market Risk Officer
is responsible in planning and driving the strategic directions to develop, improve and implement risk management frameworks, policies, guidelines/procedures, methodologies and reporting in alignment with the business objectives of Maybank Group's aspirations.

Your Impact

  1. Ensure compliance with market risk frameworks, policies, guidelines, procedures and methodologies

  2. To review and develop all appropriate group frameworks, policies, guidelines / procedures, and methodologies to ensure alignment with local regulatory requirements, local business strategies and suit local operating environment

  3. To coordinate with Head Office to incorporate risk limits required for local operations to manage exposures for new business initiatives within approved risk parameters as well as annual risk limits review

  4. Report and analyze to manage risk taking activities

  5. To prepare daily and monthly compliance reports regarding market risk to MPI and to the Parent Bank.

  6. To monitor Global Markets activities using both qualitative and quantitative risk measures on a regular basis
  7. To propose continuous enhancement and streamline the reporting of the market risk exposures
  8. To identify the weaknesses in existing workflows and internal controls and drive improvements
  9. To formulate scenarios and carry out stress testing exercises

  10. To be responsible for the surveillance in the local operations to ensure governance with the approved parameters for market risk

  11. To escalate non-compliance to the CRO and relevant Committees/Business Unit as specified in the governing policy

  12. To collaborate with other teams, i.e. Audit and Global Markets, to conduct objective investigations on potential negligence fraud cases at local operations and to present findings and recommendations to CRO and Head Office

  13. Drive the implementation of systems and data management

  14. To assist in the implementation of risk management infrastructure

  15. To conduct system testing during implementation to ensure consistency with the established frameworks / policies / methodologies; and ensure data are accurately captured and completed To participate in the system testing of new products offered
  16. To ensure post implementation support in place and continuity of system management in place

Your Profile

  • Bachelor's Degree preferably in Banking, Finance, Mathematics, Statistics, Actuarial Science, Accountancy
  • At least
    2 years working experience in related areas either Risk Management, Finance, Corporate Planning or Treasury
  • Treasury Certification, FRM/PRM is an added advantage


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