AFFINBANK

Vice President, Asset & Liability Management

Menara Affin, TRX Full time

Create your future with Affin! ​​You too can make a difference.

Join us at AFFIN, where the open minds meet and be inspired by a shared commitment to great work. Here, you don’t just stay at the forefront of the industry – you can make a difference too.

Position Objective

  • To identify, measure, manage and report IRRBB and liquidity risk of the balance sheet (e.g. deposits segmentation and concentration).
  • Highlight to Group Assets and Liabilities Committee (GALCO) and Group Board Risk Management Committee (GBRMC) the areas of risk and weaknesses. 

 

Key Responsibilities

  • To develop, review and refine market risk policies.
  • Market risk policies include but not limited to: > Market Risk Management Framework and Policy > Liquidity Risk Management Framework and Policy > Contingency Funding Plan.
  • To research, develop, review and refine behavioural risk models and assumptions for LCR, NSFR, IRRBB, Stress Test and ICAAP.
  • Review and update market risk operational procedures/manuals.
  • Provide regular ALM and liquidity risk reports to GALCO, GBRMC and Boards.
  • Act as a source of independent technical knowledge for the Group on matters pertaining to market risk policies and market risk analytics.
  • Provide relevant and timely information to facilitate audit exercise/investigations conducted by Group Internal Audit, external audit, Group Compliance and BNM.

 

Job Requirements

  • Possess a degree in Finance, Economics, Mathematics, Actuarial Science or other relevant fields.
  • Minimum 7 years working experience in ALM and liquidity risk management with good experience in risk analytics.
  • Excellent oral and written communication skills in English with strong presentation skills.
  • Independent, self-motivated, resourceful and excellent interpersonal skills.
  • Strong team leadership, managerial and facilitation skills.