Deskripsi Pekerjaan:
Informasi lowongan terbaru dari Bank Saqu untuk posisi Assistant Manager, Enterprise Risk Management & Market Risk. If the Assistant Manager, Enterprise Risk Management & Market Risk di Jakarta sesuai dengan kualifikasi Anda, silakan kirimkan lamaran atau CV terbaru Anda langsung melalui portal lowongan kerja Jobkos yang telah diperbarui.
Harap dicatat bahwa melamar pekerjaan mungkin tidak selalu mudah, karena kandidat baru harus memenuhi kualifikasi dan persyaratan tertentu yang ditetapkan oleh perusahaan. Kami berharap peluang karier di Bank Saqu untuk posisi Assistant Manager, Enterprise Risk Management & Market Risk di bawah ini sesuai dengan kualifikasi Anda.
About You
- You're a go-getter with mad juggling skills (or multiple hats) who can thrive in a fast-paced, agile environment
- You enjoy doing purpose-led and meaningful work
- You have a strong thirst for knowledge and are driven to find solutions that don't exist yet
- You are comfortable with ambiguity and extremely resourceful (in your past life, you could've been a detective)
- You always find a way to get things done without sacrificing the quality of your work, integrity, and values
- No task is off limits for you
- You are humble and prioritize the success of the team over your own with an eagerness to help those around you
- You don't shy away from challenges and can bounce back from setbacks
- We strongly encourage individuals with disabilities to apply. We believe in equal opportunity and strive to create an inclusive workplace where everyone can thrive.
What you’ll do and what success looks like in this role:
- Develop, enhance, and monitor the bank's risk governance framework and policies.
- Refine and implement advanced risk methodologies (e.g., stress testing, scenario analysis).
- Ensure alignment with Basel principles and related best practices.
- Prepare and oversee all risk-related regulatory submissions, stress testing reports.
- Ensure compliance with local and international regulatory standards.
- Address audit recommendation and implement corrective measures.
- Lead risk management initiatives involving multiple departments, group entities, and shareholders.
- Collaborate with senior management to align risk management strategies with organizational goals.
- Serve as the primary contact for group or conglomerate-level risk reporting requirements.
- Build relationships with regulators, auditors, and other key stakeholders.
- Analyze risk exposures and propose mitigation strategies.
- Track emerging risks, including climate-related risks, and recommend proactive measures.
What Is Required and What We’re Looking For
- Bachelor’s degree in Finance, Risk Management, Economics, or related fields.
- Professional certification (e.g., FRM, CFA) is a strong advantage.
- Minimum 7 years of experience in risk management within banking or financial services.
- Proven experience in regulatory compliance, Basel methodologies, and stress testing.
- Familiarity with climate risk and sustainable finance frameworks is a strong advantage.
- Deep knowledge of Basel regulatory frameworks and risk methodologies.
- Exceptional leadership and interpersonal skills for cross-department collaboration.
- Analytical and strategic thinking abilities to develop innovative risk solutions.
- Excellent communication skills, both written and verbal, to interact effectively with stakeholders.
Info Pekerjaan:
- Perusahaan: Bank Saqu
- Posisi: Assistant Manager, Enterprise Risk Management & Market Risk
- Lokasi Kerja: Jakarta
- Negara: ID
Cara Mengirimkan Lamaran:
Setelah membaca dan memahami kriteria serta persyaratan kualifikasi minimum yang dijelaskan dalam informasi pekerjaan Assistant Manager, Enterprise Risk Management & Market Risk at the office Jakarta di atas, segera lengkapi berkas lamaran kerja seperti surat lamaran, CV, fotokopi ijazah, transkrip nilai, dan pelengkap lainnya sebagaimana dijelaskan di atas. Kirimkan melalui tautan Halaman Berikutnya di bawah ini.
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