Manager (Financial Surveillance Department)
Bank Negara Malaysia - Kuala Lumpur
Job description
- Undertake macroprudential surveillance and risk assessment on the banking sector, taking into account the inter-linkages and contagion/transmission of risks and developments (financial, structural and behavioral) in the macro-economy, financial sector, non-financial sectors and financial markets.
- Conduct analytical research/study on contemporary issues affecting the resilience of the banking sector and overall financial stability.
- Conduct stress tests to assess the resilience of banking institutions and sector as a whole to credit, market and liquidity shocks.
- Ensure effectiveness and robustness of surveillance and assessment methodologies and tools as well as ensure efficient gathering of information critical for analysis.
- Formulate recommendations on risk mitigation measures or policy options (including macroprudential policies) that need to be put in place to preserve confidence in and resilience of the structure, operations and functioning of the banking and financial sector.
Desired Skills and Experience
- Academic Qualifications: University degree or professional qualification that are related to economics, finance, quantitative analysis or related disciplines.
- Experience: At least 6 - 8 years of working experience in the area of financial stability analysis, financial sector surveillance or related discipline
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