1. Prepare and analyse Basel II Pillar 1 Capital Adequacy Framework for Islamic Banks (CAFIB) IRB Approach for Credit Risk Global (monthly) and Consolidated (quarterly) reports to Bank Negara Malaysia (BNM). 2. Prepare and analyse monthly Countercyclical Buffer (CCYB) report to BNM. 3. Prepare and analyse monthly and quarterly Justification on Variance - Risk Weighted Capital Adequacy Ratio (RWCAF) report to BNM. 4. Prepare and analyse bi-monthly Credit Risk report for Board Risk Management Committee. 5. Prepare and analyse monthly Credit Risk Profile report for OABB management. 6. Prepare and analyse Basel II Pillar 3 Public Disclosure half yearly submission. 7. Participate in Basel II and Basel III Credit Risk Weighted Asset (RWA) initiatives. 8. Attend to compliance-related work for the team. 9. Attend to ad-hoc requests from regulators, internal / external auditors and internal stakeholders. Qualifications The ideal candidate would meet the following requirements: a) 1-3 years of experience in risk management field. Fresh graduates are encouraged to apply too. b) Degree in Finance, Mathematics, Banking, Economics or related fields. c) Additional relevant qualifications such as Bank Risk Management certificate will be advantage. d) Proficiency in MS Excel, MS PowerPoint and MS Access. e) Good analytical skills and attention to detail. f) Independent, fast learner, performance driven, positive attitude, good time management and team player. g) Good communication and writing skills.
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