Stress Test Governance Lead

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Salary : S$84000 - S$120000
Location : Central Region
Post Date :
Employment Type : Temporary & Contract
Job Order Number : MLJ15923
Line of Business : Project Consulting

Description :

The Company
Our client is a top tier commercial and investment bank. Due to organization growth, they are looking for Stress Test Governance persons to join the tem within the Group Finance function.

The Role
The candidate will play a key role in governing the Finance stress test work stream and ensure the Finance stress test results are accurate and impactful.

The role includes the following responsibilities:

Analytics and advisory:
  • Analysis and benchmarking of stress and base case scenarios.
  • Coordinating engagement with products, segments, and/or countries to understand behaviour, performance, and portfolio profiles under various scenarios.
  • Interfacing with the data and modelling teams to ensure data requirements are met.
  • Alignment of methodology, assumptions, and results with other work streams.
  • Consolidating and reporting results to businesses. Identifying conclusions and proposals for proactive action and decision making.
Stress Test Delivery:
  • Coordination of the Finance Stress Test work stream and alignment with other work streams.
  • Defining and ensuring adherence to roles and responsibilities.
  • Ensuring regulatory requirements are met, including specific methodology/rules and deliverables.
  • Preparing MI packs for senior management, businesses, and committees.
  • Identifying and managing enhancements and improvements in process, approach, reporting, or analytics.
  • Meeting all assurance requirements including policies and procedures, controls, operational risk assessments, and internal audit reviews.
  • Management of adhoc capital or liquidity projects, including adhoc stress tests, regulatory reporting changes, and other change initiatives
Your Profile
  • Bachelor or master degree in strategy, finance, economic
  • 3-5 years of experience in the banking of financial industry
  • 3-5 years of experience in risk functions (market, credit, liquidity, products,…). Ideally at least two of those.
  • Strategic and analytical skills
  • Good communication and presentation skills
  • Stakeholder management experience
  • Project management experience
  • Prior exposure to issues around market strategy, client planning, asset allocation, liquidity, Basel framework, balance sheet, risk management and/or treasury.
Apply Today
Please send your resume, in WORD format only and quote reference number Ref MLJ15923, by clicking the apply button. Please note that only short-listed candidates will be contacted.

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