Develops financial risk management (FRM) strategy and operation to deliver with product specialisation such as credit risk, market risk, operational risk, economic capital, and then by sector specialization such as commercial banks, investment banks, insurance companies, etc.
Developing strong relationships with regulators.
Directing and managing all FRM mandates, ensuring quality and timeliness of the deliverables.
One of the Big 4 Accounting Firms
CA or MBA (Finance).
Specialist from large commercial bank or Big 4 consulting firm.
Over 7 years experience.
Experience of leading several risk management assignments with exposure to risk management software and risk modeling.
Experience of regulatory environments / Basel 2 implementations.