1. Manager, Market Risk
Requirements:
- A recognized degree in Accounting, Finance, Economics, Mathematics, Actuary Science or equivalent discipline from reputable university
- A minimum of 7 years experience in the areas of market and liquidity risk management preferable in banking industry
- Sound technical knowledge of instrument pricing including derivatives
- High level of numeracy, analytical and strategical skills
- Strong communication and presentation skills
- Attention to detail is essential
- Programming and spreadsheet skills are advantageous
- Experience with risk management systems is desirable
2. Manager, Operational Risk
Requirements:
- A recognized degree in Business Administration, Economy, Finance , Accounting or relevant from reputable university.
- A minimum of 8 to 10 years experience in managerial level with exposure in operational risk management or risk based audit, preferable in banking industry.
- Possess excellent communication and presentation skill in English and Bahasa Melayu both verbal and written. Experience in organizing and conducting training will be an added advantages
- Strong analytical skill and knowledgeable of internal control concepts and comprehensive risk management and auditing theory and techniques.
- Excellent team leader, analytical, high integrity and ethics value, creative in seeking information, facts and data with good interpersonal skills with positive attitude.
- Able to work under pressure and independently with minimal supervision
- Experience with risk management systems is desirable
Interested candidates, please email or write to:
Senior Vice President / Head,
Human Resource Management
17th Floor, Wisma Bank Simpanan Nasional
No. 117, Jalan Ampang,
50450 Kuala Lumpur.
Or you may e-mail to rekrut@bsn.com.my
Closing Date : 7 April 2011