Senior Portfolio Risk Manager | Singapore recruitment

Key responsibilities:

• Implement a Group wide Stress Testing concept to evaluate the capital adequacy ratio under stressful conditions; integrated capital, funding and financial performance

• Created reporting environment for Economic Capital and Risk Strategy

• Determine capital buffers by taking into consideration available financial resources after allowing for business volatility risk and credit pro-cyclicality risk

• Involved in the composing and submission Annual ICAAP report to MAS

Other responsibilities are:

A key member of the bank’s risk executive team

Qualifications Skills:

• At least 7 years of working experience in risk strategy and/or risk analytics
• Ability to view risk holistically and identify key objectives to advance

• Strong team leading experience

• Excellent communication skills

Interested candidates please send in your resume in word format to qrfsing@selbyjennings.com or call +65 6808 5600