Develop/review policies and guidelines on market risk management procedures and control standards.
Evaluate market risk limits and recommend remedial/corrective actions on market risk management.
Recommend the use of market risk mitigation instruments/measures to Risk Management Committee and Board Risk Management Committee.
Provide macro-economic analysis to assist Risk Management Committee and Board Risk Management Committee and the other functions of Risk Management Division and analyze and report on expected market conditions.
Support the planning function of Risk Management Division by providing information and views on prospective developments in the economy and the implementations on the company’s business plans and budgetary aspirations.
Prepare monthly report covering functions and activities of Market Risk section to Risk Management Committee/Board Risk Management Committee.
Requirements:
Bachelors Degree in Accounting/Finance/Economics/Business Administration or Law.
Min 1 year related experience in Risk Management preferably in banking, financial institution or a public listed company.
Strong aptitude in research and analytical studies.
Good communication and presentation skills with high proficiency in verbal and written English & Bahasa Indonesia
Strong analytical skills, self-starter and able to work independently.
Solution oriented, flexible, innovative and willing to take on challenges.
BSMR LEVEL I is a Must
Interested candidates who fulfilled the requirements are invited to send your covering letter and detailed resume with recent photograph to hrd_bankeksekutif @yahoo.com Please quote the position code and accepted on subject.