Tổng quan công việc
1.
Managing market risk limits and monitoring positions within the business department. 業務部門各項市場風險限額管理與部位監控作業 2.
Assisting with risk model validation, retrospective testing, and stress testing. 協助風險模型驗證、回顧測試與壓力測試作業 3.
Preparing and analyzing risk management reports. 執行製作 風險管理 報表與分析作業 4.
Assisting with other risk management tasks within the company. 協助本公司 風險管理相關作業 5.
Familiarity with regulations such as the State Bank of Vietnam's 13/2018/TT-NHNN. 熟悉越南國家銀行13/2018/TT-NHNN 等規定
Kỹ năng chính
Yêu cầu
University graduated in Economics, Banking, Accountant & Auditing or Laws. 已在各所大學經濟、銀行、財政、會計-審計、法律系畢業。 + Minimum 02 years in banking risk management work experience 有02年以上銀行風險管理工作經驗。 + Good communication. 有良好、流利溝通能力。 + Good command in Chinese and/or English, can write and speak Chinese (Mandarin) is preferable. 有良好的中文和/或英文聼、說、寫能力,能流利聼、說、寫中文者優先。 + Good command in computer skills. 熟練電腦操作、電腦有關作業能力。 + Good sense of team work, initiative, willing to...
Quyền lợi
Thưởng: According to the bank policy
Đào tạo: Opportunities to be trained in the professional environment to maximize your potential
Khác: Good chance to study and develop career path stably
Thông tin bổ sung
Tài chính
Đại học
Tiếng Anh, Tieng Trung
