- In charge to establish and monitor key risk indicators and prepare for corrective action plans to mitigate risks
- Reviewing market risk on an annual basis.
- Analyze transactions, internal reports, and financial information for potential fraud risks
- Responsible to monitor the risk management system and make reports of significant risks and recommendations
- Arrange and make sure the implementation of parameter trading limit
- Create policies, procedures, and control assessments in response to identified risks
- Perform periodic back-test calculations based on the provisions of the regulator
- Bachelor's degree preferably majoring in Accounting/Finance/ Economics
- At least 2 years of relevant experience in the Financial Services industry (Capital Market/ Banking/ Fintech) that serves retail and institutional clients
- Wakil Perantara Pedagang Efek (WPPE) and/or BMSR (level 1) licenses holder
- Strong in analysis and detail-oriented
- Capital market sharing session
- Self-development program
- Health insurance benefits
- Well-being and counseling program
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