Responsible for ensuring the Division/Department maintains an adequate and effective first line of defense risk management program; - Promote and support Business and Support Management to ensure adherence with applicable banking laws, rules, regulations and internal policies, procedures and processes. - Action plans should be developed to address the risk and control issues; - Enable the effective execution of the operational risk and compliance throughout the Bank/Group, with respect to identifying, quantifying, reviewing, evaluating and measuring risk to ensure that all compliance and risk categories are identified and managed in accordance with regulatory, internal policies and procedures requirements.
Job Responsibilities:
Responsible for management of operational risk and regulatory risk for the Division/Department across the legal entities or across the geography as stated in the appointment letter.
For external regulatory examination: the Risk and Control Unit Head is responsible to act as a liaison and address all concerns and requirements of regulators with respect to risks within their functional area of responsibility.
Proactively manage the risk in the Division/Department to reduce the likelihood or impact of negative impact events
Responsible to report risks to the Head of Division/Department in a timely manner so that Heads of Division/Department have a clear view of the overall control effectiveness of their unit.
Execute the operational risk framework of the bank in a robust and disciplined manner so as to achieve sound risk management practices and reporting.
Proactively partner and engage with the second line of defense to achieve an optimal outcome of risk management for the CIMB Group.
Proactively validate division/ department policies, procedures, SOPs for completeness and accuracy & sign-off on all SOPs|
Promote and maintain regulatory compliance
Build and execute the compliance risk framework within the Division/ Department in a robust and discipline manner so as to achieve sound compliance risk management practices and reporting.
Support and lead the Division/Department in relation to proactive identification and management of compliance risk.
Proactively identify areas with ineffective controls and work with the relevant stakeholders to enhance overall control environment to mitigate compliance risks.
Champion the Risk Culture
Establish a reverence for strong risk management by applying knowledge and understanding of business products, services and processes
Facilitate strong partnerships across various stakeholder groups, determine best methods of communication and establish escalation model
To ensure an alignment of tasks between the 3 lines of defense to minimize overlap or gaps arising during execution of role and responsibilities
Compile and analyse risk data for themes and trends; raise awareness of emerging risks in the industry and recommend mitigation measures
Ensures that every business and support unit within the Division/Department has an RCU team and QA testers and the appointment is properly executed via GHR
Track and maintain an updated list of the RCU team and QA testers (onboarding and offboarding) within the Division/Department
Facilitate all relevant training within the Division/Department and cascade relevant risk information or program updates to the RCU team and QA testers and respective business heads
Provide guidance as needed to support RCU team and QA testers in their role
Employee engagement
Monitor performance against the relevant RCU team and QA testers KPIs; including soliciting and incorporating performance feedback from Head of Group ORM and Head of Group Compliance
Develop direct and indirect subordinates to ensuring each has a well thought through and executable action plan to help them achieve their development goals and needs
Provide timely feedback to staff and complete appraisal processes in line with CIMB process
Comply with HR performance processes and meet internal KPIs
Attract, develop and retain talent
Job Requirements:
Educational qualification: Bachelor Degree holder or equivalent
Professional qualifications: Professional or post graduate qualifications e.g. Chartered Accountant, CFA, MBA, LLB
Relevant work experience: Minimum 10 years work experience with relevant experience of a risk/audit/compliance/legal related role within the relevant business/function preferred
Excellent communication skills both, verbal and written.
An understanding of risk drivers and ability to articulate risk to non-risk personnel.
In depth knowledge of risk related to [business/function]
Able to work autonomously
Demonstrated managerial, leadership and facilitation skills
Understanding of how a bank operates front to back
Good presentational skills
Only shortlisted candidates will be notified.
Beware of fraud agents! do not pay money to get a job
MNCJobz.com will not be responsible for any payment made to a third-party. All Terms of Use are applicable.