本ウェブサイトでは、ユーザーにウェブサイト上のサービスを最適な状態でお届けするためCookieを使用しています。ブラウザの設定(Cookieの無効化等)をそのまま変更せずに閲覧される場合は、弊社ウェブサイト上の全ページでCookieを受信することに同意したものとみなします。詳細は、弊社プライバシーポリシーをご覧ください。
本ウェブサイトでは、ユーザーにウェブサイト上のサービスを最適な状態でお届けするためCookieを使用しています。ブラウザの設定(Cookieの無効化等)をそのまま変更せずに閲覧される場合は、弊社ウェブサイト上の全ページでCookieを受信することに同意したものとみなします。詳細は、弊社プライバシーポリシーをご覧ください。
| 勤務地 | タイ, Bangkok |
| 雇用形態 | 正社員 |
| 給与 | 経験考慮の上、応相談 |
Key Responsibilities:
Develop, implement, and maintain risk management frameworks, policies, and procedures aligned with regulatory standards and business strategy.
Identify, assess, and monitor key risks including credit risk, operational risk, market risk, liquidity risk, and compliance risk.
Analyze loan portfolios, credit exposures, and risk concentration to ensure prudent risk levels.
Conduct risk assessments, stress testing, and scenario analysis to evaluate potential impacts on the business.
Monitor risk indicators and prepare regular risk reports for senior management and relevant committees.
Ensure compliance with regulatory requirements, internal policies, and risk governance standards.
Collaborate with business units (Credit, Finance, Compliance, Operations) to provide risk guidance and support decision‑making.
Review and enhance internal controls and risk mitigation measures.
Support internal and external audits, regulatory examinations, and risk-related reviews.
Stay up to date with regulatory changes, market trends, and best practices in risk management.
Education:
Bachelor’s degree or higher in Finance, Banking, Economics, Business Administration, Risk Management, or a related field.
Experience:
Minimum of X years of experience in risk management, credit risk, or risk-related functions within banking, financial institutions, or lending companies.
Experience in loan portfolio analysis, credit assessment, or risk reporting is preferred.
Skills & Competencies:
Strong understanding of banking products, lending processes, and risk management principles.
Knowledge of regulatory requirements and risk governance frameworks applicable to financial institutions.
Strong analytical and problem-solving skills with the ability to interpret complex data.
Proficient in risk reporting, data analysis tools, and Microsoft Excel (knowledge of risk systems is a plus).
Excellent communication and presentation skills, with the ability to explain risk concepts to non‑technical stakeholders.
Detail-oriented, proactive, and able to work independently as well as collaboratively.
Strong ethical mindset and high level of integrity.
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.th/privacy-policy
Terms and Conditions Link: https://www.jac-recruitment.th/terms-of-use
| 職務経験 | 10年以上 |
| キャリアレベル | 中途経験者レベル |
| 英語レベル | 流暢 |
| 日本語レベル | 無し |
| 最終学歴 | 短大卒: 準学士号 |
| 現在のビザ | 日本での就労許可は必要ありません |
| 雇用形態 | 正社員 |
| 給与 | 経験考慮の上、応相談 |
| 業種 | 銀行・信託銀行・信用金庫 |