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Associate Risk Analyst/Risk Analyst, Operational Risk Unit
BNM · Kuala Lumpur, Malaysia
About The Role
- Assist Associate Risk Specialist / Risk Specialist in providing recommendations on technical matters, facilitate operationalization of global policies (e.g. Basel / IAIS etc), coordinate views among stakeholders in financial stability sector and perform continuous horizontal surveillance across the industry in line with achieving the Bank's mandate of financial stability.
- Technical matters includes model related items (development, review and use of models), and policy or research items.
- Support the effective implementation of strategic initiatives related to operational resilience and risk, contributing to the Bank’s mandate of safeguarding financial stability.
- Assisting Associate Risk Specialists in executing horizontal surveillance across the financial industry to identify and monitor emerging operational risks. This includes data-based analysis and analytical work.
- Assist in the review of internal risk measurement methodologies, statistical approaches and practices across the industry to ensure they are in line with regulatory requirements and global best practices.
- Participate in critical technical review of global regulatory reforms to facilitate management decision
- Contributing to data analysis, reporting, and development of supervisory tools that enhance early detection and mitigation of risks to financial institutions and market infrastructures.
- Participating in sector-wide initiatives aimed at strengthening the resilience of financial institutions against operational disruptions and threats.
- Providing analytical and operational support in policy development and supervisory activities to ensure alignment with regulatory expectations and industry best practices. Assist in the co-development of selected technical policy documents.
- Fostering strong industry collaboration to promote knowledge sharing, adoption of best practices, and alignment with regulatory expectations.
- Supporting coordination efforts with internal and external stakeholders to ensure timely and cohesive risk management responses across the financial stability sector.
- Supporting Associate Risk Specialists to strengthen supervisory capacity by contributing to the upskilling of supervisors in operational resilience and risk framework and practices.
Academic Qualifications
Bachelor’s Degree in one of the following fields
- Accounting
- Statistics
- Mathematics
- Finance
- Risk Management
- Data Scientist
- Computer Science
- Actuarial Science
- Information Technology-based
- Cyber Security-based, or any related discipline
Professional Qualifications: Certification related to Non-Financial Risk such as operational risk, technology risk, cyber security risk, Business Continuity Management will be an added advantage.
Experience
- Min 2 years of work experience
- Working experience related to non-financial risk related, data analyst is a plus
- Exposure to financial sector risk, data analysis, or tech-related projects is a plus
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