Primary Responsibility
• Perform daily market and liquidity risk reporting• Preparation of regular report for risk committee, ALCO, and regulator pertaining to market and liquidity risk management• Review on treasury new product and activity or SOP proposed by other party with regard to market and liquidity risk• Review and updating market risk and liquidity risk policy/guideline• Liaise with other relevant departments within the Bank on market and liquidity risk issues• Perform daily trader limit and counterparty limit monitoring• Actively involving on treasury or market risk project and initiative
Qualification
Qualification
• Candidate must posses at least bachelor degree, preferably in Finance, Banking, Management, Accounting, Statistic/Mathematic• Age max. 35 years old• At least 5 years experience in financial industry with significant exposure in Market and Liquidity risk or ALM risk• Possess BSMR level 1 or equivalent• Good knowledge on banking regulation• Having Basel knowledge
Informasi lebih lanjut
Bidang Pekerjaan |
Status Kepegawaian |
Akuntan, Perencana/Analisis Keuangan
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Full-Time
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Pendidikan Terakhir |
Gaji |
-
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Sesuai Peraturan Perusahaan
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Tingkat Jabatan |
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-
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