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Jawatan kosong di ICB Banking Group

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Closing Date: 31-12-11.

ICB BANKING GROUP is an international banking group with operations in 14 countries across Asia, Africa and Europe. The Group’s holding company, ICB Financial Group Holdings AG was incorporated in Switzerland in 2003. ICB has accomplished many successes internationally, including having continually won international banking awards from The Bankers,The Global Finance and emeafinance. Our Bank continues to march forward in the global arena and is poised for strong growth in the next few years.

To cope with our rapid expansion, we invite high calibre professionals to join us in the following position:

Jawatan : Manager-Risk Management

Tugas jawatan

  • To develop and maintain the Group Risk Management Framework and Group Risk Policies and Manuals
  • To develop and implement comprehensive risk management policies and procedures at the Banks where the Group operates in
  • To create risk awareness and ensure risk culture is embedded in all levels of the Banks’ operations that face risk in any form or manner
  • To guide the Country RMD to identify, establish and communicate to all, clear lines of roles & responsibilities in respect of risk management accountability in each department, business and functional lines in the Banks
  • To establish systems and procedures to perform the RM process at Group level to be implemented at Country level
  • To develop and implement the RM process, policies and procedures which will include risk identification, risk evaluation and analysis, risk monitoring & mitigation and risk control for the Banks where the Group operates in
  • To establish the risk parameters on each of the key risk elements identified for the Group and at country level
  • To review the Group and Country RM process periodically and perform enhancements where necessary, to ensure its effectiveness and relevance in line with the changing conditions, either internally or externally and the risk profile of the Bank
  • To ensure that the key risk elements identified remains within the tolerance limits set by the GRMD & GARMC
  • To report any breaches on the set risk parameters & tolerance limits at Country level to GRMD
  • To implement remedial measures to address the identified deficiencies and problems that may arise at Country and Group level
  • To assist the Countries to develop an effective management information system to ensure an accurate and timely flow of information from the operational level to the GRMD & GARMC
  • Provide assessments and maintain vigilance over developments in the regulatory environment of the Banks so as to keep Group Risk Head & ICB Global management up to date as well as to proactively manage the potential regulatory risk exposure of the Banks
Kelayakan jawatan

  • Degree or professional qualification in Finance, Accounting, Business or Economics
  • Must have at least 5 years of relevant experience in banking industry
  • Excellent knowledge of Basel Accords, Market Risk, Operations Risk, Credit Risk
  • Analytics and Enterprise Wide Risk Management
Jawatan kosong di ICB Banking Group

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