PT.BANK EKSEKUTIF INTERNASIONAL, Tbk; LOWONGAN KERJA BANK
Make The Right Move and join with Us, Bank Eksekutiif, a privately held financial service organization aiming to expand in the retail markets by going nation-wide aggressively :
"RISK MANAGEMENT ANALYST"
Responsibilities:
* Develop/review policies and guidelines on market risk management procedures and control standards.
* Evaluate market risk limits and recommend remedial/corrective actions on market risk management.
* Recommend the use of market risk mitigation instruments/measures to Risk Management Committee and Board Risk Management Committee.
* Provide macro-economic analysis to assist Risk Management Committee and Board Risk Management Committee and the other functions of Risk Management Division and analyze and report on expected market conditions.
* Support the planning function of Risk Management Division by providing information and views on prospective developments in the economy and the implementations on the company’s business plans and budgetary aspirations.
* Prepare monthly report covering functions and activities of Market Risk section to Risk Management Committee/Board Risk Management Committee.
Requirements:
* Bachelors Degree in Accounting/Finance/Economics/Business Administration or Law.
* Min 1 year related experience in Risk Management preferably in merchant bank, financial institution or a public listed company.
* Strong aptitude in research and analytical studies.
* Good communication and presentation skills with high proficiency in verbal and written English & Bahasa Indonesia
* Strong analytical skills, self-starter and able to work independently.
* Solution oriented, flexible, innovative and willing to take on challenges.
To Apply for this opportunity:
Please email your resume to :
hrd_bankeksekutif@yahoo.com
MENARA EKSEKUTIF
Jl.M.H Thamrin Kav.9-Ground Floor
Center Jakarta 10350
"RISK MANAGEMENT ANALYST"
Responsibilities:
* Develop/review policies and guidelines on market risk management procedures and control standards.
* Evaluate market risk limits and recommend remedial/corrective actions on market risk management.
* Recommend the use of market risk mitigation instruments/measures to Risk Management Committee and Board Risk Management Committee.
* Provide macro-economic analysis to assist Risk Management Committee and Board Risk Management Committee and the other functions of Risk Management Division and analyze and report on expected market conditions.
* Support the planning function of Risk Management Division by providing information and views on prospective developments in the economy and the implementations on the company’s business plans and budgetary aspirations.
* Prepare monthly report covering functions and activities of Market Risk section to Risk Management Committee/Board Risk Management Committee.
Requirements:
* Bachelors Degree in Accounting/Finance/Economics/Business Administration or Law.
* Min 1 year related experience in Risk Management preferably in merchant bank, financial institution or a public listed company.
* Strong aptitude in research and analytical studies.
* Good communication and presentation skills with high proficiency in verbal and written English & Bahasa Indonesia
* Strong analytical skills, self-starter and able to work independently.
* Solution oriented, flexible, innovative and willing to take on challenges.
To Apply for this opportunity:
Please email your resume to :
hrd_bankeksekutif@yahoo.com
MENARA EKSEKUTIF
Jl.M.H Thamrin Kav.9-Ground Floor
Center Jakarta 10350