Manager - Financial Risk Management
pwc · Kuala Lumpur
Job description
About the role
As a Manager in the Financial Risk Management (FRM) team at PwC Malaysia, you will lead diverse projects that help clients across industries strengthen their risk frameworks. You will work on credit, market, operational, liquidity and capital risk assessments while also providing specialised support in financial modelling, Basel compliance and treasury management.
Key responsibilities
- Plan and execute financial risk management engagements, ensuring alignment with client objectives and regulatory standards.
- Deliver strategic advisory services using advanced analytics and industry‑specific tools.
- Develop and maintain trusted relationships with external clients and internal stakeholders.
- Provide guidance on Basel compliance, ICAAP, hedge accounting and valuation of financial instruments.
- Support business development initiatives and contribute to thought leadership within the firm.
Required profile
- Proven experience in financial risk management, preferably at a managerial level.
- Strong analytical mindset with the ability to interpret complex data.
- Excellent communication skills, both written and verbal.
- Commitment to ethical standards and continuous professional development.
Required skills
- Financial Modelling
- Basel compliance
- ICAAP
- Finance and Treasury management
- Hedge Accounting
- Valuation of Financial Instruments
What we offer
- Opportunities for professional growth within a global network.
- Access to continuous learning resources and mentorship.
- Collaborative environment with leading experts in risk management.
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Published 1 month ago
Expires 3 weeks from now
18 views · 0 interested
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pwc
Kuala Lumpur
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