Market Risk Officer
Job Description
• Develop and implement market risk management measures and procedures such as VAR, Stress Testing and simulations
• Control and monitor market risks, coordinate related departments in obtaining and verifying data inputs for interest rate risk assessments
Qualification
• Master’s Degree in Finance, Accounting, Economics, Financial Engineering or related fields
• At least 1 year of working experience in market risk management, treasury operations such as FX Market, derivatives, futures will be advantaged
• Male must be exempt in military service
Required Skills
• Good systematic thinking with strong knowledge in global economic analysis and forecasting
• Good Communication and presentation skills, including ability to interface with executive management
• Fluent in both written and spoken English (TOEIC Score 600 or equivalent)
• Computer literate in Microsoft Word, Excel and Power Point