Job Responsibilities:
- Assess and evaluate investment risks of financial instruments and
assets classes.
- Implement risk management policy, to monitor investment risk through
appropriate and regular reporting.
- Review and improve risk management systems and reporting capabilities.
- Monitor compliance of internal control and ensure proper corporate governance
with all regulatory requirements
.
Requirements:
Possess at least a Degree from recognized university in Statistics,
Mathematics, Actuarial Science, Accounting, Finance or Economics.
Obtained Grade 1 with Distinction or strong credit in English/ Mathematics/Additional
Maths in the GCE O Level examinations.
At least 2 or 3 years experience with exposure in risk management in financial
institution is preferred.
Possess analytical mind and intellectual ability to contribute positively
towards the company objectives.
Self-motivated with strong interpersonal and excellence in both oral and
written communication skills.
Proactive and able to work independently and in a team.
Computer literate.
Salary: S$ Neg depending on experience
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