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Officer Trading Risk Analyst

2 weeks ago


Jakarta, Indonesia PT Bank Mandiri (Persero) Tbk. Full time

Monitoring the market risk management and treasury trading activities based on the results of market risk measurements.

Reviewing market risk limits on an annual basis.

Monitoring the fulfillment of minimum capital adequacy requirements related to market risk.

Consolidating overseas offices and subsidiaries data related to the preparation of a consolidated market risk profile report.

Perform periodic back test calculations based on the provisions of the regulator.

Propose a valuation method for liquid securities on a regular basis

Support the implementation of enterprise risk management through the provision of data related to market risk.

Implement operational risk management for each business process, namely identifying, assessing, monitoring, controlling & mitigating operational risks including data quality and reporting where risk events occur in accordance with applicable regulations at the bank as well as being a role model in the context of implementing operational control
Minimum graduate Strata-1 in economics, Accounting, Economics of Management, Math, Engineering

3 years of work experience

Have experience in Market Risk Management and Treasury Trading Transactions

Have technical ability in analyzing changes in market factors

Have knowledge in Banking and Economics

Have leadership ability such as Collaboration, Manage Change, Decisive, Ethics, Delivering Results, Tough Minded

Have good communication and presentation skills

**Expertise and Skills in the following fields**:
Chartered Financial Analyst (CFA) or Financial Risk Certification (FRM)

Banker Association for Risk Management (BARa)

Badan Sertifikasi Manajemen Risiko (BMSR)