Risk Management, Mgr/SM with large listed conglomerate based in West

Location
Singapore
Salary
Competitive
Posted
18 Apr 2019
Closes
26 Apr 2019
Ref
5608135
Job role
Accountant
Risk Management, Mgr/SM with large listed conglomerate based in West

  • Around 3 to 6 years of direct experience in Risk Management, with some of the relevant exposure covering liquidity risk, ops risk, financial risk, ERM, investment risk is required
  • Exposure to control risk assessments (CSA) or risk governance assurance framework (RGAF)or internal control will be useful
  • Good external auditor cands with some exposure to risk or internal control assessment will be considered


Our client is a global player with an international presence. It is based in the Western part of Singapore.

It is recruiting for an experienced Mgr/Senior Mgr for its risk management/ ERM Dept. The risk scope covers some of the following key areas: liquidity risk, financial risk, ops risk, credit risk, compliance, investment risk, ERM. For this role, you report to the Chief Risk Officer (CRO) and cover the following responsibilities. The role will require some travel (below 30%).
  • Participate in the design, development and implementation of risk mgt strategies, policies and programs in identifying, assessing, mitigating, managing and reporting operational, credit, compliance, investment and M&A risks.
  • Ensures that risk controllers of the various capabilities and overseas yards are apprised of Risks' priorities and processes.
  • Monitors the evaluation/delivery of risk management policies & programmes.
  • Implements corrective actions to address risk management issues.
  • Responsible for CSA and RGAF.
  • Drafts /update policies/ processes for mitigating, managing and reporting risks.
  • Collaborates with Finance/Treasury to conduct comprehensive stress tests and determine the probability, velocity and materiality of different market and liquidity scenarios.
  • Organizes risk management meetings and supervises preparation of risk materials required.
  • Collaborates with Finance/Treasury to design and implement dashboards for managing and reporting financial market and liquidity risks.
  • Leads RM survey and able to drive high completion rate.
  • Participates in rollout of RACI tables for new Risk Operating Model.
  • Supports CRO to implement global transformation of Risk function
  • Assists CRO to enhance ERM programs and attain strategic goals and corporate objectives while complying with all regulations, quality, safety and risk accreditation standards.


Requirements:
  • Bachelor's Degree in Accountancy, Finance, Economics, Business or related field.
  • Around 3 to 6 years of direct experience in Risk Management, with some of the relevant exposure covering liquidity risk, ops risk, financial risk, ERM, investment risk is required
  • Exposure to control risk assessments (CSA) or risk governance assurance framework (RGAF)or internal control will be useful
  • Will consider good external auditor cands with some exposure to risk or internal control assessment
  • Exposure to risk management work gained with a public listed company is very relevant (but not a must)
  • Familiar with risk management and process improvement tools and techniques
  • Agile in learning
  • Energetic, with the ability to drive results and define challenging goals for own unit based on thorough analysis of future opportunities
  • Open to working in the Western part of Singapore (at Tuas)
  • Open to the official work hours: Mon to Thurs: 7.30am to 5.15pm; Fri: 7.30am to 4.15pm and the requirement to work some long hours when required


To apply, please send your cv in word doc to resume@cap-cg.com. Please also include details of your current salary, expected salary and notice period in your cv.

We regret to inform that only shortlisted candidates will be notified.

Posted by :
CAP Consulting (EA licence : 14C7175)
Caroline Poh (EA registration : R1105649)

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