Monday, 26 August 2013

Financial Risk Mgt - Director

Possess a post graduate with 11 - 15 years of experience in banks, consulting firms, rating agencies or analytical software companies. Candidates with CFA, PRM/FRM qualifications would be an added advantage.
Have minimum 5 years of relevant experience in market risk management. Prior experience in a leadership role in a risk discipline is desirable, in particular related to delivering risk advisory assignments
Have a strong ability to map client business requirements and convert the same to a viable business proposition.
Have deep knowledge of local and global financial markets.
Have a good understanding of derivatives and structured products.
Be familiar of problem areas in the business and various macro and micro economic factors impacting the operations of the entity.
Be willing to travel within the ASEAN region for project execution is essential.

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