As a member of our FRM team, you will have the opportunity to work on a diverse range of projects, providing tailored risk management solutions to businesses across various industries. Our services encompass credit, market, operational, liquidity and capital assessment and management. Additionally, you will delve into specialized areas such as Financial Modelling, Basel compliance, ICAAP, Finance and Treasury management, Hedge Accounting and Valuation of Financial Instruments, offering comprehensive support to both internal and external stakeholders within the firm.
You will leverage deep industry knowledge, advanced analytics and tools to deliver actionable insights and innovative solutions that enhance our clients' risk management frameworks and processes. At PwC Malaysia, we offer an environment that fosters professional growth, continuous learning, and the opportunity to work alongside some of the brightest minds in the industry. By joining our FRM team, you will play a crucial role in helping organizations navigate the complexities of the financial landscape, developing policy, processes, and tools, improve their risk resilience, and achieve sustainable growth. Take the next step in your career and make a significant impact in the world of financial risk management with PwC Malaysia.
Eligibility / Qualification Required:
- Strong educational background in a related field e.g., Accounting & Finance, Economics, Actuarial Science, Statistics and Mathematics etc.
- Minimum 5 years of relevant experience required.
- Professional certifications (or currently undergoing) in FRM and CFA or any other related professional certifications will be added advantage.
- Strong analytical and problem-solving skills.
- Advanced written and verbal communication skills.
- Possess good leadership skills and strong drive to excel professionally.
- Resourceful with experience working in team-oriented and fast-paced environments.
- Skilled in Microsoft Office Suite including Excel and VBA.
- Relevant experience in any of the following areas:
- Financial Modelling - Model Development, Validation for IFRS/MFRS 9 ECL, Scorecards, Climate risks modelling.
- Risk and regulatory - Capital Management, Basel II / III, ICAAP, Stress Testing, FTP and RAROC.
- Finance and Treasury - Treasury Management, Hedge Accounting and Valuations.
- Familiarity with SAS, Python and R programming language will be an added advantage.
- Travel Requirements: Up to 60%.
- Available for Work Visa Sponsorship? No.
- Government Clearance Required? No.
- Required Skills: Accepting Feedback, Accounting and Financial Reporting Standards, Accounting Policies, Active Listening, Analytical Thinking, Artificial Intelligence (AI) Platform, Auditing, Auditing Methodologies, Client Management, Coaching and Feedback, Communication, Compliance Auditing, Complying With Regulations, Creativity, Data Analysis and Interpretation, Data Ingestion, Data Modeling, Data Quality, Data Security, Data Transformation, Data Visualization, Embracing Change, Emotional Regulation, Empathy.
General Conditions:
How to Apply:
View Official Posting & Apply