Across the banking and capital markets, asset and liabilities management, energy and corporate treasury sectors, our clients require integrated risk management and regulatory advice.
You’ll help them by providing strategy and implementation support. You’ll work in high-performing teams alongside risk management professionals, quantitative analysts, risk technology architects, control professionals and former regulators.
Together, you’ll help clients better assess and improve their risk and regulatory frameworks.
Your career is yours to shape. But we’ll provide a structured framework that allows you to grow. And with a network stretching around the globe, you’ll gain valuable insight across industries and geographies.
So whenever you join, however long you stay, the exceptional EY experience lasts a lifetime.
Major Responsibilities / Duties
Working in a team, you will interact with the client in order to collect all the necessary data / information, set-up and maintain advisory files, prepare leads, translate advisory documents as well as support subject matter experts etc.
Keep abreast of professional development and regularly expand technical competence.
Positive attitude and demonstrate willingness to learn
Work constructively with team
Attend training sessions for risk management.
Graduates from Finance / Economics / Accounting / Mathematics / Risk Management / Banking;
Prefer other certificates like FRM, PRM, CFA, ACCA
Excellent written and verbal communication skills in English;
Proficient IT skills (Word, Excel, Power Point); Familiarity with programing (e.g. VBA, SQL, R, SAS, etc.) is a plus
High level of motivation and drive to start a career in professional services.
Knowledge / Experience / Skills
Self-motivated, positive attitude
Willingness to learn
Attention to detail with a commitment to high quality and accuracy
Desire to exceed expectations
Interest in the different fields of financial advisory
User level IT (MS Office) knowledge
Familiarity with Basel II requirements, risk modelling, statistics, banking experience are preferable
Excellent written and spoken English.
Good communication and writing skills
Good project management skills with the ability to multi-task under pressure and tight deadlines.
Willing to travel to deliver projects.
Prefer candidate has experience related to Liquidity risk, Interest rate risk in Banking book, Market risk, Treasury, ALM Asset liabilities management, FTP fund transfer pricing in Banks or has experience in banking advisory services special in risk management consultancy.