Interesting opportunity in one of the top tier investment banks!
Your new company
Be a part of the top tier bank and join the fast paced, established foreign investment bank as part of the Margin Risk Analyst.
Your new role
- Perform governance and daily controls review on Banking Products (Loans and Deposits)
- Perform regulatory gap analysis related to Credit Risk Management and Banking practices
- Capture and analyze data & advise management in developing effective mitigation steps and controls
- Prepare client communication document related to exceptions of Margin Lending & Banking Products
- Proactive monitoring of margin exposure level of client portfolio
- Monitor market conditions and assess their impact on the PWM portfolio as well as client portfolio, and recommend changes of risk management strategies
- Communicate key risks to senior management and escalate emerging or developing risks in a timely manner
- Ensure standardization and consistency in risk management policies and procedures applicable to Wealth Management and comply with ongoing regulatory requirement
What you'll need to succeed
- 5-7 years of relevant working experience in the banking industry
- Product knowledge of various asset-classes including equity, fixed income, listed and OTC equity derivatives, FX, Funds is a plus
- Excellent verbal and written communication skills
What you'll get in return
- Attractive Renumeration Package
- Great learning opportunity
- Great growth potential
What you need to do now
Wait no more! Apply now and send you updated CV in to shanyi.wong@hays.com.my