Senior Director - Financial Risk Management - PwC - Singapore
Job description
We are seeking a Financial Risk Management (FRM) professional to join us in helping our Financial Services industry clients on the following:
Credit Risk
Credit Risk provisioning (IAS39) including model build and review
Basel II Credit Risk (Corporate and Retail) including model build & review
Risk Weighted Asset and Portfolio Optimisation
Credit Risk Policy – review and benchmarking
Loan valuation and analytics
Risk rating / scoring and credit exposure (application and behavioural models)
Credit Risk management assessment, process redesign, and dashboards
Asset-Liability Management / Liquidity Risk
ALM – profile analysis, loan prepayments, and deposit behaviour analysis
Liquidity Risk Management – Basel III LCR and NSFR
Operational Risk
Model build and review
Risk adjusted performance measurement
International, supply chain, vendor, trading, commodities, technology risk
As a Senior Manager / Director, you will be required to:
Conduct review and analysis of credit risk, Basel II capital, operational risk, including providing coaching to junior staff on engagements
Contribute to the business development for Risk Consulting in the Asia-Pacific region, including customer segmentation, development of go-to-market strategy, development of new service offerings, marketing plans, leading business development and sales opportunities
Lead and project manage engagements in the area of credit risk and capital, risk analytics, regulatory compliance, strategy, etc
Define well-thought solutions on industry/client risk issues and lead a team to deliver the solutions successfully to the clients
Demonstrate ability to apply judgement, initiative and lateral thought to problem-solving
Manage project economics
Drive key client accounts, maintain high quality relationships with clients by providing timely advice, guidance and feedback to clients
Lead thought leadership groups and research and development activities as appropriate
Supporting Directors and Partners in the development of the Risk team.
Desired Skills and Experience
A recognised Degree in Analytical, Mathematical, Statistical, or Risk related fields
For Senior Manager: Min. 8 years and above of relevant experience
For Director: Min. 12 years and above of relevant experience, preferably tier 1 consulting environment or equivalently senior industry role with previous consulting experience
Proven business development experience in the area of Risk consulting, experience in the APAC region will be favourable
Experience in Financial Risk Management, Risk Analytics, Valuations, Risk Methodologies and processes, etc. at industry or organisation level
Good presentation skills, both oral and written
Ability to multi-task and prioritise workload with good working knowledge of Microsoft Office Suite
Good client management skills, authoritative and credible in a client conversation - both in terms of personal style and subject matter expertise
Must have the capability to work on several projects in parallel, and be able to switch from one to another with confidence.
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Source:
Aaren