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Senior Officer, Market and Liquidity Risk Analysis
3 weeks ago
18 Oct 2024**Senior Officer, Market and Liquidity Risk Analysis (40000795)**:
- Category: Risk Management Division- Job Type:
- Facility: Risk Management**Job Purpose**:
The job holder responsible for:
Participate in planning and implementing risk management in compliance with market risk management (MR), interest rate risk on the bank book management (IRRBB), liquidity risk management (LR) frameworks.
**Key Accountabilities (1)**:
- 1. Responsibility for human resource development
- Participating in training and guiding Officer;
- Propose training programs, develop competancy.
**Key Accountabilities (2)**:
- 2. Professional Responsibilities
2.1. MR, IRRBB/ LR policy
- Develop guidance processes related to MR, IRRBB / LR analytics and control.
- Participate in assessment of the impacts from SBV's regulations and international practices, Basel or advanced regulations for MR, IRRBB / LR analysis and control.
2.2. MR, IRRBB/ LR acceptance: develop risk indicators, set risk appetite, risk limit
- Participate in assessment of business's limit proposal, identification of MR, IRRBB/ LR from business initiative, product with guidance / support from Expert, SM and SE
- Participate in design and proposal of risk mitigation solution to the unit's SM, SE
2.3. MR, IRRBB/ LR analysis and control: early-warning, stress test, risk forecasting, LCP, LFD
- Control limit, early-warning; assess limit breach to comply with the regulations on MR, IRRBB/ LR and regulatory requirements.
- Control CCR limit; early-warning (MR only)
- Analyze portfolio risk (static and forecast), Stress test, scenario analysis, ad-hoc report to propose recommendation on change of portfolios or needed actions;
- Participate in development and implementation of Liquidity contingency plan and Liquidity Fire-Drill (LR only): Assess LFD, LCP scenarios, cashflow projection,for liquidity crisis (for LR only).
2.4. MR, IRRBB/ LR capital measurement
- Participate in study, methodology/tools development and capital calculation implementation according to SBV and ICAAP requirements for MR, IRRBB, CCR, concentration risk in trading book.
- Partipate in research and business support in measuring capital management efficiency
- Particpate in assessment of liquidity cost in stress scenarios in ICAAP.
2.5 MR, IRRBB/ LR data và system
- Work with the Model team on building a database for the limit set-up, monitoring, management and portfolio analysis.
- Develop, improve and operate control systems and tools of the unit.
2.6. MR, IRRBB/ LR Risk transformation
- Participate in research under professional guidance of SE, E on risk management standards, SBV requirements and work with SE, E on roadmap proposal to the Senior Manager
**Success Profile - Qualification and Experiences**:
- Experience:
- Expertise: at least 5 years of experience in analyzing MR, IRRBB, LR, ALM...or more than 03 years of experience in related fields of finance and banking industry.
Expertise:
- Understand market risk, IRRBB, liquidity risk, ALM management.
- Knowledge of analytics
- Understand Treasury operations, interbank activities
- Knowledge of financial market products
Degree/Profession:
- English: TOEIC 550 or equivalent