Market & Liquidity Risk Manager
Petaling Jaya (First Avenue)onsitemanager
Posted today · via Workday
About this role
Sitting independently within the Risk Department as part of the Second Line of Defense, the Market & Liquidity Risk Manager is responsible for the independent governance, framework maintenance, and analytical oversight of the Bank's Market Risk, Liquidity Risk, and Interest Rate Risk in the Banking Book (IRRBB) profiles. In this role, you will combine quantitative rigor with modern data capabilities to monitor key risk limits, run stress tests, quantify capital requirements under ICAAP, and evaluate new products. Working closely with Treasury, Finance, and Data Engineering, you will deliver critical risk insights to senior risk committees and help maintain balance sheet resilience across a high-growth digital banking ecosystem (covering Singapore and Malaysia operations).…
What we'd score you on
reqspace match rubricFive dimensions, recruiter-grade. Upload your resume and we'll generate a written explanation of where you fit and where the gaps are.
1
Skills match
For this role: python, r, sql, teams
2
Level fit
This role is manager-level. We check your trajectory against it.
3
Domain experience
Your work in the role's domain matters more than your years total. We weight recent and direct experience.
4
Recency
A skill you used last quarter weighs more than one from five years ago. We grade on recency, not lifetime.
5
Location fit
This role is based in Petaling Jaya (First Avenue). We weight your proximity and willingness to relocate.
Score yourself on this role.
Free · no card · written explanation included
Skills in this role
Pulled from the job description. These are the keywords we'll weight when scoring your fit.
pythonrsqlteams
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