Risk and Control Analyst l Contract

  •  Job Reference: 159216
  •  Industry: Banking and Finance
  •  brand-id: R1441955
  •  Brand Name: 02C3423

Responsibilities:

  • Investigation and analysis of daily VAR (Value at Risk) and monthly stress figures.
  • Investigation of back testing exception.
  • Authorize limit increase.
  • Supporting other market risk teams in ad-hoc / periodic reports.
  • Perform UATs on various system releases and patches.

Requirement:

  • Bachelor’s Degree in Banking, Finance or in any related majors
  • At least 6 months to 1 year of experience in Analytics or Risk Management role.
  • Must have good technical and analytical skills.
  • Must be detail-oriented with keen eye for details.
  • Able to work well in a fast-paced environment.

Interested Applicants, please email your resume to [email protected] (R1441955), stating the position as the subject title in the email. All Applications will be handled with strict confidentiality.