Market & Liquidity Risk Specialist

  • Kepatuhan & Resiko
  • Jakarta Pusat Jakarta Raya
  • 13-Aug-2024
  • Full time

General Responsibilities:

  • Monitor the Bank’s liquidity condition
  • Review the SOP related to liquidity risk
  • Monitor daily, weekly, and monthly cashflow
  • Prepare daily LCR, NSFR, and Liquidity Ratio reports

Requirements:

  • Candidate should possess at a minimum Bachelor Degree (S1), majoring in Business, Management, Economics/Banking, or equivalent.
  • At least 4 year(s) experience as Market & Liquidity Specialist from Banking Industry.
  • Able to understand the Balance Sheet report.
  • Proficient in Ms. Office (especially Excel)
  • Able to work in a fast-paced environment with tight deadlines and targets.
  • Strong integrity and punctual person
Supportive work environment Competitive remuneration package Career opportunities What's your expected monthly basic salary? How would you rate your English language skills? How many years' experience do you have as a Risk Specialist?