Job Description:
• Develop risk management strategy and plans to manage risk of the company effectively.
• Ensure that risk management framework and policies are established, reviewed, and operated properly in all business units.
• Use risk-based approach to identify, assess, monitor, and report all types of risk and coordinate with related business unit to ensure the risk framework is established.
• Report risk metrics of investment management portfolio to the management and ensure that risk level is within the approved limit.
• Advise, educate, and consult company’s board members, management, and other officials about risk management.
• Create guidelines to evaluate risk of new products and develop procedures to manage risk.
• Develop risk management strategy and plans to manage risk of the company effectively.
• Ensure that risk management framework and policies are established, reviewed, and operated properly in all business units.
• Use risk-based approach to identify, assess, monitor, and report all types of risk and coordinate with related business unit to ensure the risk framework is established.
• Report risk metrics of investment management portfolio to the management and ensure that risk level is within the approved limit.
• Advise, educate, and consult company’s board members, management, and other officials about risk management.
• Create guidelines to evaluate risk of new products and develop procedures to manage risk.
Qualification:
• Minimum 8-10 years of experiences in risk management or related department in financial institutions (banks, securities broker, or asset management companies) or relevant role in financial services industry.
• Bachelor's degree or higher in related field.
• Experiences or strong passion in digital asset is a plus.
• High integrity, results-oriented and self-motivated with strong leadership qualities and good teamwork capabilities.
• Good verbal and written English communication proficiency.
• Strong analytical and problem-solving skills.
• Minimum 8-10 years of experiences in risk management or related department in financial institutions (banks, securities broker, or asset management companies) or relevant role in financial services industry.
• Bachelor's degree or higher in related field.
• Experiences or strong passion in digital asset is a plus.
• High integrity, results-oriented and self-motivated with strong leadership qualities and good teamwork capabilities.
• Good verbal and written English communication proficiency.
• Strong analytical and problem-solving skills.
#LI-JACTH
#Bangkok
#countrythailand
#Bangkok
#countrythailand