You will be working in a team supervising a group of financial institutions. The team will work together, both on-site and off-site, in assessing financial institutions’ risk profiles, risk management processes, internal control systems and financial soundness. You are expected to recommend actions to help maintain high prudential standards, and promote sound risk management and best practices in the financial industry. You are also required to evaluate regulatory applications, and assist in the formulation of supervisory policies.
Relevant experience of 2 to 8 years in the Banking or Financial Services industries, preferably assuming risk management, audit or compliance roles.
Strong analytical skills with a demonstrated ability to work at both the conceptual and operational levels in a team.
Proactive and self-motivated, with good communication and interpersonal skills.