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 MASOther responsibilities are: A key member of the bank’s risk executive teamQualifications Skills:• Read more […]