• Prepare, review, and distribute market risk monitoring reports in accordance with internal procedures and regulatory requirements.
• Assist in tracking and investigating risk limit breaches, alarms, and significant changes in market risk indicators.
• Maintain and update risk-related systems (e.g., FXAT, Pyramid), including credit limit configurations and exception logs.
• Organize and support risk-related meetings and committees, including scheduling, documentation, administration.
• Support the development and maintenance of risk policies, procedures, and manuals to ensure compliance.
• Assist in managing the department’s risk documentation and profile.
• Stay informed on relevant regulatory updates and internal policy changes.
• Ensure compliance with all company policies and guidelines.
• Bachelor’s or Master’s degree in Finance, Banking, Economics, Risk Management, or related fields.
• At least 2 - 3 years of experience in an administrative or support role, preferably within financial services or risk management.
• Proficiency in Microsoft Office (Excel, Word, PowerPoint); knowledge of VBA, Power Query/ Automate is an advantage.
• Strong organizational and communication skills.
• Ability to manage multiple tasks and meet deadlines with accuracy.
• Team-oriented with a proactive and responsible attitude
Premium healthcare plan for staff and their family
min 17 Annual Leave per Year
Emloyees are provided many various training programs
Chú ý: Nếu bạn thấy rằng tin tuyển dụng này không đúng hoặc có dấu hiệu lừa đảo, hãy gửi phản ánh đến chúng tôi.