-Fully understand the nature and complexity of financial statement varies depending on circumstances, including business condition, industries, market and economic environment
-Develop, implement, manage & analyze reports to keep management appraised of key risk and performance.
-Actively support internal risk management process through Counterparty Credit Risk exposure calculation and analyzing all the relevant data across all market class to calculate those limits.
-Specialize in performing extensive research and analysis to identify the potential financial losses or disadvantages a company may face when making business decision.
-Support, and develop and implement Liquidity, credit risk policies, strategies and control frameworks.
-Identify, evaluate and assess the potential risk and develop strategies or idea for risk management
-Data analysis. financial analysis -MS OFFICE (Excel & Power point) -2 - 3 years' experience in credit risk analysis -Strong foundation in finance, statistic or related field -Strong research skills