274 Health Safety Coordinator jobs in Malaysia

Risk Management, Risk Associate - SPX Express

Kuala Lumpur, Kuala Lumpur SPX Express

Posted 3 days ago

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Job Description

SPX Express Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia

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SPX Express Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia

Join to apply for the Risk Management, Risk Associate - SPX Express role at SPX Express

  • Facilitate risk assessment process with relevant risk owners in accordance with the risk management framework.
  • Review, analyse and provide feedback to risk owners in defining the target risk exposure and assess the adequacy and effectiveness of existing risk treatment / controls and risk countermeasures.
  • Provide guidance and support to risk owners to develop, prioritise and implement risk mitigation strategies.
  • Conduct process reviews to identify process gaps, key risks, and recommendation of best practices.
  • Identify areas of high risk and assist in the development of SOP in mitigating risk issues.
  • Facilitate and coordinate the implementation of process improvement initiatives.
  • Continually identify and assess potential emerging risk exposures for timely intervention.
  • Coordinate with relevant functions and stakeholders to ensure effective tracking and monitoring resolution and closure of incidents.

Job Description

  • Facilitate risk assessment process with relevant risk owners in accordance with the risk management framework.
  • Review, analyse and provide feedback to risk owners in defining the target risk exposure and assess the adequacy and effectiveness of existing risk treatment / controls and risk countermeasures.
  • Provide guidance and support to risk owners to develop, prioritise and implement risk mitigation strategies.
  • Conduct process reviews to identify process gaps, key risks, and recommendation of best practices.
  • Identify areas of high risk and assist in the development of SOP in mitigating risk issues.
  • Facilitate and coordinate the implementation of process improvement initiatives.
  • Continually identify and assess potential emerging risk exposures for timely intervention.
  • Coordinate with relevant functions and stakeholders to ensure effective tracking and monitoring resolution and closure of incidents.

Requirements

  • Bachelor’s Degree and above
  • At least 2 years of relevant experience in risk management / compliance / audit / big 4 advisory
  • Great communication skills and be able to work with different stakeholders
  • Strong analytical / problem-solving skills and attention to details
  • Comfortable working in a dynamic environment
Seniority level
  • Seniority level Mid-Senior level
Employment type
  • Employment type Full-time
Job function
  • Job function Other
  • Industries Internet Marketplace Platforms and Technology, Information and Internet

Referrals increase your chances of interviewing at SPX Express by 2x

Sign in to set job alerts for “Risk Management Associate” roles. Analyst, Performance Management | Assessment & Performance Section

Kota Damansara, Selangor, Malaysia 1 week ago

Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 1 week ago

Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 2 weeks ago

Credit Analyst, Region Federal Territory (FT), Group Corporate Credit, Group Risk

Federal Territory of Kuala Lumpur, Malaysia 3 weeks ago

Federal Territory of Kuala Lumpur, Malaysia 3 weeks ago

Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 2 weeks ago

Federal Territory of Kuala Lumpur, Malaysia 3 weeks ago

Credit Risk Analyst (Regional Bond Credit)

WP. Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 2 days ago

WP. Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 1 week ago

Associate, Corporate Finance - Investment Banking

Federal Territory of Kuala Lumpur, Malaysia 2 days ago

WP. Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 6 months ago

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Loans Operations Analyst 2 - Loans Operations (Kuala Lumpur)

Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 21 hours ago

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Bukit Persekutuan, Federal Territory of Kuala Lumpur, Malaysia 6 months ago

Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 5 days ago

Compliance Analyst, Transaction Monitoring

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Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 2 weeks ago

WP. Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 3 weeks ago

Petaling Jaya, Selangor, Malaysia 4 months ago

Federal Territory of Kuala Lumpur, Malaysia 2 weeks ago

Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 2 weeks ago

Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia MYR84,000.00-MYR120,000.00 3 weeks ago

MYS CTSM KL - Transaction Capture Representative - C05 (Hybrid)

Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 1 week ago

Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 2 weeks ago

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Risk Management, Risk Associate - SPX Express

Kuala Lumpur, Kuala Lumpur SPX Express

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Risk Management, Risk Associate - SPX Express

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SPX Express SPX Express Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia Join to apply for the

Risk Management, Risk Associate - SPX Express

role at

SPX Express Facilitate risk assessment process with relevant risk owners in accordance with the risk management framework. Review, analyse and provide feedback to risk owners in defining the target risk exposure and assess the adequacy and effectiveness of existing risk treatment / controls and risk countermeasures. Provide guidance and support to risk owners to develop, prioritise and implement risk mitigation strategies. Conduct process reviews to identify process gaps, key risks, and recommendation of best practices. Identify areas of high risk and assist in the development of SOP in mitigating risk issues. Facilitate and coordinate the implementation of process improvement initiatives. Continually identify and assess potential emerging risk exposures for timely intervention. Coordinate with relevant functions and stakeholders to ensure effective tracking and monitoring resolution and closure of incidents.

Job Description

Facilitate risk assessment process with relevant risk owners in accordance with the risk management framework. Review, analyse and provide feedback to risk owners in defining the target risk exposure and assess the adequacy and effectiveness of existing risk treatment / controls and risk countermeasures. Provide guidance and support to risk owners to develop, prioritise and implement risk mitigation strategies. Conduct process reviews to identify process gaps, key risks, and recommendation of best practices. Identify areas of high risk and assist in the development of SOP in mitigating risk issues. Facilitate and coordinate the implementation of process improvement initiatives. Continually identify and assess potential emerging risk exposures for timely intervention. Coordinate with relevant functions and stakeholders to ensure effective tracking and monitoring resolution and closure of incidents.

Requirements

Bachelor’s Degree and above At least 2 years of relevant experience in risk management / compliance / audit / big 4 advisory Great communication skills and be able to work with different stakeholders Strong analytical / problem-solving skills and attention to details Comfortable working in a dynamic environment Seniority level

Seniority level Mid-Senior level Employment type

Employment type Full-time Job function

Job function Other Industries Internet Marketplace Platforms and Technology, Information and Internet Referrals increase your chances of interviewing at SPX Express by 2x Sign in to set job alerts for “Risk Management Associate” roles.

Analyst, Performance Management | Assessment & Performance Section

Kota Damansara, Selangor, Malaysia 1 week ago Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 1 week ago Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 2 weeks ago Credit Analyst, Region Federal Territory (FT), Group Corporate Credit, Group Risk

Federal Territory of Kuala Lumpur, Malaysia 3 weeks ago Federal Territory of Kuala Lumpur, Malaysia 3 weeks ago Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 2 weeks ago Federal Territory of Kuala Lumpur, Malaysia 3 weeks ago Credit Risk Analyst (Regional Bond Credit)

WP. Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 2 days ago WP. Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 1 week ago Associate, Corporate Finance - Investment Banking

Federal Territory of Kuala Lumpur, Malaysia 2 days ago WP. Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 6 months ago Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 1 week ago Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 2 weeks ago Loans Operations Analyst 2 - Loans Operations (Kuala Lumpur)

Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 21 hours ago Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 2 weeks ago Federal Territory of Kuala Lumpur, Malaysia 1 week ago WP. Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 1 week ago Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 2 weeks ago WP. Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 2 weeks ago Bukit Persekutuan, Federal Territory of Kuala Lumpur, Malaysia 6 months ago Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 5 days ago Compliance Analyst, Transaction Monitoring

WP. Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 1 week ago Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 2 weeks ago WP. Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 3 weeks ago Petaling Jaya, Selangor, Malaysia 4 months ago Federal Territory of Kuala Lumpur, Malaysia 2 weeks ago Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 2 weeks ago Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia MYR84,000.00-MYR120,000.00 3 weeks ago MYS CTSM KL - Transaction Capture Representative - C05 (Hybrid)

Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 1 week ago Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia 2 weeks ago We’re unlocking community knowledge in a new way. Experts add insights directly into each article, started with the help of AI.

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Manager, Credit Risk Portfolio Management (Risk Management)

Kuala Lumpur, Kuala Lumpur Bank Islam Malaysia Berhad

Posted 3 days ago

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Job Description

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Responsible for analysing, monitoring, and reporting the Bank’s credit profile at the portfolio level to ensure exposures remain within approved limits. This includes highlighting concerns and escalating non-adherence instances to Management and Board Committees. Additionally, responsible for developing and reviewing the Group Risk Appetite Statement (RAS) Policy, Group Enterprise-Wide Risk Management (ERM) Policy, and other related Credit Risk functions.

Duties and Responsibilities

Management and Board Reporting

Prepares, analyses, and reviews monthly credit risk reports for Management and Board Committees, including other required reports.

Consolidates monthly risk reports covering all risk areas—capital adequacy, market risk, and non-financial risk—for submission to Management and Board Committees.

Enhances credit risk reports based on updated BNM/BASEL requirements and the Bank’s portfolio mix to improve insights.

Ensures timely submission of risk reports to Bank Negara Malaysia and Management and Board Committees.

Prepares emerging risk impact analyses on the Bank’s credit profile jointly with the Chief Economist and Group Credit Management Division for Board submission.

Performs biennial reviews of the Group ERM Policy and annual reviews of the Group RAS Policy for Management and Board approval.

Monitors half-yearly compliance with the Group RAS Policy for Board reporting.

Analyzes the Consumer portfolio, including growth, asset quality, and rating profile, to detect trend changes and potential issues, ensuring alignment with retail strategy and risk appetite.

Incorporates AI-driven solutions for Consumer Portfolio review, including predictive analysis.

Reviews changes in Pillar 3 disclosures related to credit quality and asset quality on a half-yearly basis.

Other Tasks

Reviews policies, guidelines, and committee papers related to credit risk as required.

Provides support to subsidiaries when needed.

Coordinates with Business Units to gather relevant data for analysis.

Ensures compliance with internal policies, guidelines, and external regulations.

Performs additional duties as assigned by the Head of Department.

Skills/Knowledge and Certification Requirements

Assertive, innovative team player, committed, self-motivated, resourceful, results-oriented.

Ability to network across functions and countries.

Highly numerate, detail-oriented, capable of multitasking.

Willing to learn and adapt to changes.

How do your skills match this job? How do your skills match this job?

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Your application will include questions about your right to work in Malaysia, your expected monthly salary, and your experience as a Credit Risk Manager.

Bank Islam Malaysia Berhad is a pioneer of Islamic banking in Malaysia, offering a wide range of financial products and services. A career here offers growth in a challenging industry and contributes to Malaysia’s position as a leading Islamic financial centre.

Follow our Careers IG @gobeyondatbankislam for more updates on our culture and opportunities.

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Manager, Credit Risk Portfolio Management (Risk Management)

Kuala Lumpur, Kuala Lumpur Bank Islam Malaysia Berhad

Posted today

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Job Description

Add expected salary to your profile for insights. Responsible for analysing, monitoring, and reporting the Bank’s credit profile at the portfolio level to ensure exposures remain within approved limits. This includes highlighting concerns and escalating non-adherence instances to Management and Board Committees. Additionally, responsible for developing and reviewing the Group Risk Appetite Statement (RAS) Policy, Group Enterprise-Wide Risk Management (ERM) Policy, and other related Credit Risk functions. Duties and Responsibilities Management and Board Reporting Prepares, analyses, and reviews monthly credit risk reports for Management and Board Committees, including other required reports. Consolidates monthly risk reports covering all risk areas—capital adequacy, market risk, and non-financial risk—for submission to Management and Board Committees. Enhances credit risk reports based on updated BNM/BASEL requirements and the Bank’s portfolio mix to improve insights. Ensures timely submission of risk reports to Bank Negara Malaysia and Management and Board Committees. Prepares emerging risk impact analyses on the Bank’s credit profile jointly with the Chief Economist and Group Credit Management Division for Board submission. Performs biennial reviews of the Group ERM Policy and annual reviews of the Group RAS Policy for Management and Board approval. Monitors half-yearly compliance with the Group RAS Policy for Board reporting. Analyzes the Consumer portfolio, including growth, asset quality, and rating profile, to detect trend changes and potential issues, ensuring alignment with retail strategy and risk appetite. Incorporates AI-driven solutions for Consumer Portfolio review, including predictive analysis. Reviews changes in Pillar 3 disclosures related to credit quality and asset quality on a half-yearly basis. Other Tasks Reviews policies, guidelines, and committee papers related to credit risk as required. Provides support to subsidiaries when needed. Coordinates with Business Units to gather relevant data for analysis. Ensures compliance with internal policies, guidelines, and external regulations. Performs additional duties as assigned by the Head of Department. Skills/Knowledge and Certification Requirements Assertive, innovative team player, committed, self-motivated, resourceful, results-oriented. Ability to network across functions and countries. Highly numerate, detail-oriented, capable of multitasking. Willing to learn and adapt to changes. How do your skills match this job?

How do your skills match this job?

Sign in and update your profile to get insights. Your application will include questions about your right to work in Malaysia, your expected monthly salary, and your experience as a Credit Risk Manager. Bank Islam Malaysia Berhad is a pioneer of Islamic banking in Malaysia, offering a wide range of financial products and services. A career here offers growth in a challenging industry and contributes to Malaysia’s position as a leading Islamic financial centre. Follow our Careers IG @gobeyondatbankislam for more updates on our culture and opportunities.

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Vice President, Investment Risk Management

Kuala Lumpur, Kuala Lumpur Khazanah Nasional Berhad

Posted 12 days ago

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Job Description

About Khazanah Nasional (“Khazanah”)

Khazanah is Malaysia’s sovereign wealth fund that was established in 1994 with mandate to invest and deliver sustainable value for Malaysians. We strive to find balance between growing financial returns with appropriate risk-adjusted financial returns and developmental investments that delivers identified socio-economic impact to benefit future generations.

By joining us, you will be working in an environment that upholds core values of professionalism, diligence, teamwork, integrity, and mutual respect. We offer a dynamic, intellectually rigorous, and growth-oriented environment for your personal and professional growth.

Position Overview

We are seeking a highly skilled, focused, and motivated Investment Risk Manager to join our Governance, Risk, and Compliance (GRC) team at Khazanah Nasional Berhad.

As the Financial Quantitative Risk Analyst (Investment Risk) Vice President (VP), you will play a pivotal role in strengthening investment risk management across the Public Market portfolio, Dana Impak mandate, and Treasury portfolio.

In this role, you will:

  • Support the first line of defense in identifying, assessing, and managing investment risks to enhance portfolio resilience and increase the likelihood of achieving strategic objectives.
  • Leverage existing risk management tools to ensure key portfolios are well-monitored and effectively managed.
  • Act as a key member of the second line of defense, proactively engaging with internal and external stakeholders to implement a comprehensive investment risk framework.
  • Continuously explore and integrate innovative risk management tools to enhance decision-making and mitigate potential exposures.
  • Foster a strong risk culture across the organization, embedding risk awareness and best practices into daily operations.

This role offers an exciting opportunity to drive risk excellence and enhance risk governance within a dynamic and strategic investment environment.

Key Responsibilities

1. Risk Management:

  • Lead and supervise the team in supporting the first line of defense in managing investment risks for the Public Market, Dana Impak, and Treasury portfolios.
  • Oversee the review and assessment of risks for new investment proposals, conducting thorough analyses to support informed decision-making.
  • Ensure annual reviews of risk controls for Public Market, Dana Impak, and Treasury portfolios, identifying areas for improvement and implementing necessary enhancements.
  • Oversee the execution of annual stress testing exercises for Public Market portfolios to assess their resilience under different market conditions.

2. Risk Analysis & Modelling:

  • Develop, implement, and maintain quantitative risk models across multiple asset classes, including public equities, private equity, and quantitative mandates.
  • Establish quant risk capabilities within the team to effectively support Public Market quantitative strategies.
  • Conduct in-depth risk assessments, including risk-return analysis, downside risk evaluations, and tail risk management to quantify risk exposures.
  • Contribute to the development of proprietary risk models to monitor and manage portfolio risks more effectively.
  • Mentor and train junior staff, enhancing their technical knowledge and skill sets to become proficient in quantitative risk management.

3. Stakeholder Engagement:

  • Maintain proactive engagement with the Public Market and Dana Impak deal teams through regular discussions, addressing risk-related concerns and providing strategic insights.
  • Participate in deal team meetings, contributing expertise where the investment risk team's presence is required.
  • Conduct virtual engagements or site visits to external EFMs (External Fund Managers) on investment risk matters, fostering and maintaining strong working relationships.

4. Policy Development:

  • Assist in the development and maintenance of risk management policies and guidelines, ensuring alignment with industry standards and regulatory requirements.

5. Reporting and Audit:

  • Develop comprehensive investment risk reports, utilizing relevant risk analysis tools to provide senior management with actionable insights.
  • Oversee and resolve audit findings related to investment risk management for Public Market, Dana Impak, and Treasury operations, demonstrating a commitment to continuous improvement.

Qualifications and Experience

  • Bachelor's degree in Actuarial Science, Finance, Accounting, Economics, Statistics, Engineering, Computer Science or a related field is required. While a Master's degree or professional certifications such as FRM (Financial Risk Manager) or CFA (Chartered Financial Analyst) would be advantageous, they are not mandatory.
  • Minimum of 10 years of experience in the financial or asset management industry, with at least 7 years focused on investment risk management.
  • Deep understanding of financial markets, investment products, and risk management methodologies.
  • Proven experience with stress testing methodologies and risk model validation.
  • Strong analytical and problem-solving skills, with meticulous attention to detail.
  • Exceptional written and verbal communication skills, with the ability to clearly and concisely convey complex concepts.
  • Demonstrated ability to collaborate effectively in a team-oriented environment and manage multiple priorities simultaneously.

We encourage and value applications from all backgrounds, identities, and experiences whereby all qualified candidates will be assessed in a fair and equitable manner. Our employment decisions are based on merit, business needs, and job requirements.

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Head of Treasury Risk Management

Kuala Lumpur, Kuala Lumpur OCBC

Posted 12 days ago

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Job Description

OCBC Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia

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OCBC Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia

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Description

Roles and Responsibilities

Responsible for accurate and timely preparation of management and risk committee dashboards.

Perform annual review and alignment of risk policies to Head Office, incorporating local regulatory requirements.

Perform back-testing and stress-testing on the bank’s market risk exposures and assess its results. Troubleshoot any observed irregularities from the Murex system.

Review stress test parameters and implement stress testing program to comply with regulatory & internal requirements.

Review and calibrate parameters/limits for new methodologies/market risk measurements in alignment with Group.

Evaluate new product or product variation proposals and ensure the relevant market risk concerns are fully addressed before sign off on product approval & product launch.

Perform market risk simulations to assess potential limit utilization on impending deals.

Identify market risk concentrations, perform market risk analysis & monitor limit utilizations. Escalate any market risk concerns to appropriate parties in a timely manner.

Identify & initiate development/refinement of market risk information, measurement, assumptions & risk analysis for assessment at granular levels.

Identify gaps/weaknesses in market risk processes and facilitate resolution of any governance, controls, audit & regulatory issues.

Responsible for UAT testing of new product, change in model, change in curves/methodologies to ensure correct risk identifications, measurements, implementations, and reporting.

Perform FRTB analysis and ensure correct implementation and measurement of FRTB results.

Participate in regulator requests, audit exercises, process changes and initiatives of MRM.

Requirements

Job Qualifications

Preferably more than 8 years experience in market risk management field.

Degree in Finance, Mathematics, Banking, Economics or related fields.

Additional professional qualifications such as CFA or FRM will be advantage.

Working knowledge of Market Risk/Product Control processes, FRTB, and related Bank Negara Malaysia (BNM) regulatory requirements.

Strong knowledge in Treasury products across asset classes in terms of pricing and risk measurements.

Possess end-to-end process and control mindset. Ability to translate regulatory and policy requirements into operational workflows.

Proficiency in MS Excel, MS Powerpoint, MS Word, Bloomberg terminals. Knowledge in VBA is an advantage.

Familiar with front office systems (Murex) is an advantage.

Strong people skill and excellent team player.

Excellent planning, organizing & coordinating skills. Good interpersonal, communication, presentation & negotiation skills. Good spoken and written English with policy/report writing skills.

Primary Location

Malaysia

Job

Risk Management

Organization

MAL RiskMgt - Market Risk Management

Schedule

Permanent

Full-time

Job Posting

15-Apr-2025, 9:54:23 AM

Seniority level
  • Seniority level Not Applicable
Employment type
  • Employment type Full-time
Job function
  • Job function Finance and Sales
  • Industries Banking, Capital Markets, and Financial Services

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Head of Group Risk Management

Kuala Lumpur, Kuala Lumpur Trees Engineering Sdn

Posted 17 days ago

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Job Description

This strategic role will be instrumental in identifying, assessing, mitigating and monitoring risks associated with our growth and investment initiatives in the energy sector, specifically in upstream and midstream operations, as well as our ongoing projects in specialist products and services, engineering, construction, fabrication, and maintenance.

Key Accountabilities:

Strategic Risk Leadership

Develop and implement a comprehensive enterprise risk management framework to protect

Company's business operations across upstream, midstream, and downstream sectors

Lead and develop a team of risk management professionals, providing mentorship, training, and

performance management to build organizational risk capabilities

Provide executive leadership with actionable insights on risk exposures related to new market

entries, acquisitions, and strategic partnerships across our diversified portfolio

Lead crisis management planning and coordinate effective response measures to protect

Company's market position and stakeholder interests

Lead systematic risk identification, assessment, and mitigation strategies across all business

units and geographies, with particular focus on our six-country footprint

Provide strategic risk oversight for major capital projects, investments, and bids

Conduct thorough quantitative and qualitative risk assessments, analyzing both upside

opportunities and downside threats that may impact Company's financial and long-term

sustainability

Evaluate identified risks against organizational criteria (financial impact, legal requirements,

environmental factors, reputational concerns) to ensure strategic alignment and appropriate

Monitor and report Key Risk Indicators and track risk mitigation plan implementation, providing

timely reporting to governance and management committees

Lead continuous improvement initiatives within Enterprise Risk Management, Crisis

Management, and Business Continuity Management frameworks

Prepare executive-level risk reports for the Board, Executive Committee, and other stakeholders

that facilitate informed decision-making

Job Requirements:

Experience :

Minimum 15 years professional experience with 8+ years in senior risk management roles

Proficiency in risk quantification techniques and analytical tools

Proficiency with ISO 31000. Experience in implementing ISO 31000 is a plus.

Industry Expertise:

Comprehensive knowledge of oil and gas industry risks and mitigation strategies

Understanding of engineering, construction, and maintenance project risks

Familiarity with international energy sector regulations and compliance requirements

Education & Certifications:

Bachelor or Advanced degree in Business, Finance, Engineering, or related field

Professional risk management certifications (e.g., FRM, CRM, CRISC) are highly desirable

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Head of Treasury Risk Management

OCBC Bank

Posted 18 days ago

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Job Description

Job Description - Head of Treasury Risk Management (25000K2)

Roles and Responsibilities
  1. Responsible for accurate and timely preparation of management and risk committee dashboards.
  2. Perform annual review and alignment of risk policies to Head Office, incorporating local regulatory requirements.
  3. Perform back-testing and stress-testing on the bank’s market risk exposures and assess its results. Troubleshoot any observed irregularities from the Murex system.
  4. Review stress test parameters and implement stress testing program to comply with regulatory & internal requirements.
  5. Review and calibrate parameters/limits for new methodologies/market risk measurements in alignment with Group.
  6. Evaluate new product or product variation proposals and ensure the relevant market risk concerns are fully addressed before sign off on product approval & product launch.
  7. Perform market risk simulations to assess potential limit utilization on impending deals.
  8. Identify market risk concentrations, perform market risk analysis & monitor limit utilizations. Escalate any market risk concerns to appropriate parties in a timely manner.
  9. Identify & initiate development/refinement of market risk information, measurement, assumptions & risk analysis for assessment at granular levels.
  10. Identify gaps/weaknesses in market risk processes and facilitate resolution of any governance, controls, audit & regulatory issues.
  11. Responsible for UAT testing of new product, change in model, change in curves/methodologies to ensure correct risk identifications, measurements, implementations, and reporting.
  12. Perform FRTB analysis and ensure correct implementation and measurement of FRTB results.
  13. Participate in regulator requests, audit exercises, process changes and initiatives of MRM.
Qualifications
  1. Preferably more than 8 years experience in market risk management field.
  2. Degree in Finance, Mathematics, Banking, Economics or related fields.
  3. Additional professional qualifications such as CFA or FRM will be advantage.
  4. Working knowledge of Market Risk/Product Control processes, FRTB, and related Bank Negara Malaysia (BNM) regulatory requirements.
  5. Strong knowledge in Treasury products across asset classes in terms of pricing and risk measurements.
  6. Possess end-to-end process and control mindset. Ability to translate regulatory and policy requirements into operational workflows.
  7. Proficiency in MS Excel, MS Powerpoint, MS Word, Bloomberg terminals. Knowledge in VBA is an advantage.
  8. Familiar with front office systems (Murex) is an advantage.
  9. Strong people skill and excellent team player.
  10. Excellent planning, organizing & coordinating skills. Good interpersonal, communication, presentation & negotiation skills. Good spoken and written English with policy/report writing skills.
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Deputy Manager | Cybersecurity Risk Management

Petaling Jaya, Selangor EPF Malaysia

Posted 18 days ago

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Job Description

JOB SUMMARY

  • This position will be reporting to the Head of Risk Management Advisory 1 Section and will function under the Cybersecurity Risk Management Unit.
  • Support and strengthen cybersecurity governance through comprehensive cybersecurity risk assessments, in-depth risk advisory services, and proactive engagement with key stakeholders to ensure cybersecurity compliance with internal policies and regulatory standards.

JOB RESPONSIBILITIES

  • Research, monitor and analyse emerging cybersecurity threats and regulatory requirements.
  • Develop, design, and maintain comprehensive policies and guidelines to address security needs and compliance obligations.
  • Provide expert-level cybersecurity advisory for business initiatives, systems implementations, and operational processes to ensure alignment with security policies and risk appetite.
  • Review and assess IT change requests, vendor solutions, technology initiatives and third-party controls for security risks and recommend mitigation strategies.
  • Participate in the planning, execution, and analysis of cybersecurity simulation exercises (e.g., phishing, smishing) to test and enhance organizational readiness.
  • Partner with the SOC team on breach impact assessments and remediation action.
  • Lead threat modelling, control gap analysis, and risk scoring for systems/cloud (AWS/Azure).
  • Monitor the implementation of risk mitigation plans and follow up with relevant departments to ensure timely closure of issues.
  • Participate in governance forums and act as a liaison to internal committees (e.g., Risk Management Department, Data Governance Office, etc) on matters relating to IT risk and security governance.
  • Prepare reports, presentations, and dashboards on cybersecurity risk posture, incidents, and remediation progress for internal stakeholders and management.
  • Contribute to the development and refinement of IT security governance frameworks, policies, and procedures.

JOB REQUIREMENTS

  • Possess a Bachelor's Degree in Computer Science/ Information Technology, Cybersecurity or equivalent qualification from accredited higher learning institutions.
  • At least 7 years of relevant working experience in IT security, risk management, or cybersecurity risk management and advisory.
  • Proficiency in technology and cyber risk frameworks (e.g. BNM’s RMiT, NIST RMF, CIS, MITRE ATT&CK) and risk quantification (e.g. FAIR, NIST SP 800-37, ISO 27001).
  • Excellent analytical thinking, communication, and stakeholder engagement skills.
  • Experience coordinating with cross-functional teams on security governance and compliance efforts.
  • Professional certifications such as CISM, CISSP, CRISC, or equivalent are highly desirable.
  • Malaysian citizen.
  • Obtain a pass in Bahasa Melayu, including an oral test in Sijil Pelajaran Malaysia (SPM) level or equivalent qualification recognised by the Government.

JOB STATUS

Permanent

PLACEMENT

Cybersecurity Risk Unit, Risk Management Advisory I Section, Risk Management Department

All applications are strictly CONFIDENTIAL and only shortlisted candidates will be called in for interview. Applications are deemed UNSUCCESSFUL if there is no feedback from the EPF 2 MONTHS after the closing date of the advertisement.

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Senior Manager, Technology Risk Management

Negeri Sembilan, Negeri Sembilan PRUDENTIAL SERVICES SINGAPORE PTE. LTD.

Posted 3 days ago

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Job Description

As part a Global Technology Risk Management community, the role will support the LBU and Group by:

  • Assuring Risk Oversight: Provide assurance and oversight on information and technology risks that may impact the LBU’s ability to achieve its business objectives.
  • Risk Analysis and Recommendations: Offer objective analysis and detailed recommendations to LBU management regarding key information and technology risk areas, ensuring appropriate risk mitigation.
  • Ensuring Risk Mitigation Effectiveness: Oversee the effectiveness of processes, tools, and technologies within the LBU, ensuring they are adequately mitigating risks to information and technology assets.
  • Compliance Monitoring for Technology related regulations and guidelines: Collaborate with the Compliance and relevant Group functions to monitor compliance with technology related regulatory requirements, Group standards, and LBU-specific policies related to information security, technology, and data protection.
  • Collaborative Risk Management: Partner with LBU operational teams to support the effective management of risks to information and technology assets.
  • Independent Assurance: Provide independent assurance that information and technology risks are being managed within the risk appetite established by the Board.
  • Framework Implementation Support: Collaborate closely with the Group Technology Risk Management team to ensure the successful rollout and implementation of risk frameworks, policies, and processes within the LBU.
  • Develop and Implement TRM Framework: Lead the formation and successful rollout of the LBU Technology Risk Management (TRM) framework, ensuring alignment with local and regional requirements.
  • Provide Expertise and Guidance: Offer technical and best practice guidance on information and technology risk, taking into account platform-specific and regional complexities.
  • Risk Appetite and Key Metrics: Establish and roll out the information and technology risk appetite and key risk metrics for effective management oversight.
  • Risk Register Monitoring: Proactively monitor the LBU risk register and escalate any potential risk areas for Group-level reporting, ensuring risks are appropriately rated and mitigated.
  • Collaborate with Operational Risk: Work closely with the LBU Operational Risk Management (ORM) team to manage information and technology risks, ensuring alignment in risk treatment and reporting.
  • Risk Culture: Promote a strong risk management culture across LBU stakeholders, focusing on managing information and technology risks effectively.
  • Support Periodic Risk Reporting: Assist the LBU CRO in ensuring timely and accurate reporting of information and technology risk matters to the LBU risk committee.
  • Technology domain risk oversight for Artificial Intelligence (e.g. AI governance committee) and Data Governance.
  • Third Party Technology risk review of ACRs in various key strategic technology projects.

Qualifications

  • Education: A technology-related degree (e.g., Information Technology, Computer Science).
  • Certifications: Candidates should hold relevant certifications in areas such as Technology Risk Management, Technology Audit, IT Management, Cybersecurity, Cloud, Software Engineering, or Project Management.

Examples include:

  • Risk Management: CRISC (Certified in Risk and Information Systems Control)
  • Audit: CISA (Certified Information Systems Auditor)
  • IT Service Management: ITIL Foundation, PRINCE2, PMP
  • Cloud/Network: Microsoft Certified Azure Solutions Architect Expert, (ISC)² CCSK, CompTIA Cloud Essentials
  • IT/Information Security: CISSP, CISM, CompTIA Security+
  • Software Development: DevOps Engineer Professional, Google DevOps Engineer, Microsoft Certified Solutions Developer

Technical Experience

Candidates should demonstrate experience in identifying, managing, and reporting risks and controls in at least three or more of the following areas:

  • Developing internal AI capabilities through Microsoft Copilot.
  • IT Infrastructure Management: Networks, platforms (e.g., IBM, Unix, Windows), middleware, and databases.
  • IT Operations: Data center management, backup, batch processing, incident and problem management.
  • Application and Interface Security: Ensuring secure development practices.
  • Application Development and Change Management (SDLC): Experience with the full software development lifecycle.
  • IT Project Management/Delivery: Overseeing projects from initiation to completion in any specific risk / technology capacity.
  • Third-Party Risk Management: Managing vendor risks effectively.
  • IT Service Management: Familiarity with frameworks such as ITIL.
  • Identity and Access Management (IAM): Experience with tools like SailPoint, CyberArk.
  • Cybersecurity: Familiarity with frameworks like NIST, and experience with security tools and operations.

Additional Advantageous Experience

Candidates with any risk management / auditing experience in any of the following areas will have an added advantage:

  • Cloud Technologies: Experience with PaaS, IaaS, and SaaS.
  • DevOps / DevSecOps: Familiarity with continuous integration and deployment processes.
  • API Management: Managing API security and integration.
  • Robotic Process Automation (RPA): Experience with automation tools and frameworks.
  • Artificial Intelligence (AI): Familiarity with AI technologies and related risks.
  • Data Governance: Managing and securing data assets.
  • Agile Development: Experience with Agile methodologies.
  • Mobile Device and Application Management: Securing and managing mobile technologies, including containerization.

Desirable Traits

The following traits will be an added advantage:

  • Subject Matter Expert (SME): Recognized as an expert in their functional area and sought after for advice or consultation.
  • Impactful Initiative Delivery: Proven track record of delivering impactful projects (e.g., automating manual processes, creating dashboards for risk identification).
  • Coding/Analytics Background: Experience with tools such as Python, SQL, or similar analytics technologies.
  • Industry Network: Strong industry connections to stay informed on developments in the fast-moving IT and risk landscape.
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