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Manager, Balance Sheet Risk Management (Reporting) in Singapore at UOB Group

Date Posted: 10/20/2018

Job Snapshot

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Job Description

Functional area: Risk Management
Employment type: Full-time
Job Type: Permanent

Job Description
You will be part of a team responsible for in-depth analysis/evaluation of the balance sheet structure of the Bank Group, including subsidiary banks and overseas operations. You will be required to: 
  • Prepare, consolidate and analyse risk reports and data especially on interest rate / liquidity risks exposures
  • Monitor and analyse liquidity risk exposure of the Bank/Group
  • Assist in reviewing overseas reports and assumptions taking into account the various regulations
  • Assist in the functional upgrade and support of the reporting system
  • Work with IT to further automate and streamline data processing flow
  • Degree holder majoring in Business, Finance or equivalent professional certifications with relevant experience in a financial institution, holder of FRM/PRM will have an advantage
  • Degree holder majoring in computer science or equivalent professional certifications with relevant experience in programming, applicant familiar with SAS language will have an advantage
  • Team player, self-motivated and resourceful
  • Numerically inclined with a strong analytical mind
  • Highly proficient in the use of Microsoft Excel and Access