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| Location | Singapore, Singapore |
| Job Type | Permanent Full-time |
| Salary | Negotiable, based on experience |
Job Description
Integrated Risk Management & Monitoring
Perform regular measurement, analysis, and reporting of various risk types, including credit risk, market risk, liquidity risk, and operational risk
Prepare reports for senior management and management committee meetings
Regulatory Compliance & Governance
Conduct gap analysis when new MAS Guidelines or Notices are issued
Design, implement, and analyze stress testing scenarios
Monitor and analyze domestic and international regulatory developments and communicate relevant updates internally
Handle external and internal audit engagements
Cross-Functional Collaboration
Maintain ongoing communication and collaboration on risk-related matters with internal departments (e.g., Corporate, Treasury, Back Office, Compliance) as well as relevant head office teams
We regret to inform that only shortlisted candidates will be notified.
We appreciate your understanding.
EA: JAC Recruitment Pte. Ltd.
EA Licence: 90C3026
Notice: By submitting an application for this position, you acknowledge and consent to the disclosure of your personal information to the Privacy Policy and Terms and Conditions, for the purpose of recruitment and candidate evaluation.
Privacy Policy Link: https://www.jac-recruitment.sg/privacy-policy
Terms and Conditions Link: https://www.jac-recruitment.sg/terms-of-use
| Minimum Experience Level | Over 3 years |
| Career Level | Mid Career |
| Minimum English Level | Fluent |
| Minimum Japanese Level | None |
| Minimum Education Level | Associate Degree/Diploma |
| Visa Status | No permission to work in Japan required |
| Job Type | Permanent Full-time |
| Salary | Negotiable, based on experience |
| Industry | Bank, Trust Bank |