Senior Associate - Financial Risk Management

PwC Malaysia

Financial modelling and validation
Basel ii/iii regulatory compliance
Icaap and stress testing support
The role involves providing tailored risk management solutions across credit, market, operational, liquidity, and capital assessment for diverse industries

Job Summary

  • The role involves providing tailored risk management solutions across credit, market, operational, liquidity, and capital assessment for diverse industries.
  • Candidates will leverage advanced analytics to deliver actionable insights that enhance client risk management frameworks and processes.
  • The position offers an environment fostering professional growth, continuous learning, and the opportunity to work alongside industry experts at PwC.

Matching Summary

The role involves providing tailored risk management solutions across credit, market, operational, liquidity, and capital assessment for diverse industries.

Skills & Requirements

Must-have

  • Financial modelling and validation
  • Basel II/III regulatory compliance
  • ICAAP and stress testing support
  • Treasury management and hedge accounting
  • Risk governance framework implementation

Nice-to-have

  • Strong leadership and mentoring skills
  • Experience with SAS Python and R
  • Business development opportunities
  • Climate risk related stress testing
  • Collaborative team environment

Key Requirements

  • Minimum 3 years of relevant experience
  • Bachelor's degree in Actuarial Science or related field
  • FRM or CFA certification preferred
  • Proficiency in Microsoft Excel and VBA

Work Rights

Government clearance required; Not specified if local status is mandatory

Tailored Resume

Cover Letter