Manager – Consulting – Financial Risk Management – PwC

Loker Manager – Consulting – Financial Risk Management – PwC.

Line of Service

Advisory

Industry/Sector

Not Applicable

Specialism

Risk

Management Level

Manager

Job Description & Summary

A career in our Enterprise Risk Management practice, within Risk and Compliance services, will provide you the opportunity to work with a team that provides clients with extensive risk and controls technical knowledge and sector specific experience. You’ll have the opportunity to develop a holistic approach to risk that protects businesses, facilitates strategic decision making and enhances efficiency by assisting management in the assessment of project risks and controls.

Our team helps organisations identify and assess risks that affect their business objectives. As a part of the team, you’ll help our clients reduce their costs and improve the effectiveness of their governance, risk and compliance activities, and assess, design, or implement enterprise risk management capabilities.

Responsibilities :

You will provide consulting services to help clients to work smarter and grow faster. Your work areas will be specific on Financial Risk Management which requires you to perform a risk modelling and other risk quantification type of works. As part of South East Asia Risk Consulting, you are also be assigned to projects related to Enterprise Risk Management (ERM) and Governance, Risk & Compliance (GRC) across all industries. You will assist clients in delivering and implementing their risk strategies thru data and model by making risk value propositions to drive management decision-making and support sustainable business growth and operational excellence.

Financial Risk Management Requirements:

  • A Bachelor’s or Master’s degree in Business & Finance, Accounting, Industrial Engineering, Statistics, Computer Science or Mathematics.

  • Solid experience, with a minimum of seven years in a similar position.

  • A minimum of two to three years of experience working with quantitative analysis in the banking or financial services industry and/or consulting firms. Have an experience performing model validation and model development in the area of credit risk or market risk or treasury are desirable.

  • A good understanding of risk management international standards, such as COSO ERM and ISO 31000, and/or specific banking/securities general risk frameworks under Basel & IFRS guidelines.

  • Strong knowledge of programming languages, especially SAS, R, phyton, MatLab or SPSS applications.

  • Have understanding of financial instruments within banking products, insurance products and capital market products, methodologies and financial analysis, such as derivatives, structured finance stock and commodities instruments.

  • Good understanding of statistical and quantitative risk parameter modelling (areas of expertise should include at least credit risk rating/scoring and value at risk).

  • Familiarity with analytical tools for finance and risk technology is desirable.

  • Familiarity with the applicable regulatory frameworks.

  • Risk Management Certifications (e.g. FRM, BSMR, BARA, PRMIA, ERMCP) or CFA certification are desirable but not essential.

General Requirements:

  • Strong analytical, project-management and report-writing skills.

  • Good in translating numbers and graph into business impact analysis and recommendation for decision making

  • Good team player who enjoys working collaboratively with people from a variety of backgrounds.

  • Assertive

  • Proficient in English, both written and spoken.

  • Result-orientated

  • Proven ability to work in a highly dynamic environment.

  • PC literate (Windows, MS Project, Visio, MS Access).

  • Excellent communication and presentation skills, both to inform-and to persuade.

  • Persistence, eye for detail and the ability to complete projects to deadlines.

  • Ability to think creatively, highly driven and self-motivated.

  • Ability to organise time effectively and to manage the details of multiple routine matters while attending to occasional strategic/complex matters.

Education (if blank, degree and/or field of study not specified)

Degrees/Field of Study required:

Degrees/Field of Study preferred:

Certifications (if blank, certifications not specified)

Required Skills

Optional Skills

Desired Languages (If blank, desired languages not specified)

Travel Requirements

Up to 40%

Available for Work Visa Sponsorship?

No

Government Clearance Required?

Yes

Job Posting End Date

Melamar Manager – Consulting – Financial Risk Management – PwC.



Loker Manager – Consulting – Financial Risk Management – PwC dan gaji Manager – Consulting – Financial Risk Management – PwC.

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