10 Market Risk jobs in Thailand
Market Risk Officer
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To ensure that its risk management system is effective and in line with international standards and in accordance with the principles of Basel II and Basel III
**Role & Responsibilities**
- Develop and implement market risk management measures and procedures such asVAR, Stress Testing and simulations
- Control and monitor market risks, coordinate related departments inobtaining and verifying data inputs for interest rate risk assessments
**Qualifications**
- Master’s Degree in Finance, Accounting, Economics, Financial Engineeringor related fields
- At least 1 year of working experience in market risk management, treasuryoperations such as FX Market, derivatives, futures will be advantaged
- Fluent in both written and spoken English (TOEIC Score 600 or equivalent)
- Computer literate in Microsoft Word, Excel and Power Point
- Male must be exempt in military service
**Required Skills**:
- Good systematic thinking with strong knowledge in global economic analysisand forecasting
- Good Communication and presentation skills, including ability to interfacewith executive management
**Working Location**: Operating at Silom Head Office
**If you require more information, **please contact Khun Idsada Tel. 0-2296-8355
**Code** : CMR/MTP
Treasury Market Risk Section Manager - Near Mrt
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**Summary Responsibilities**:
- Establishing strategy, implementation and budget plans for Treasury Operation and Settlement Management as well as the assigned projects.
- Overseeing and ensuring the effectiveness and efficiency of the day-to-day Treasury Operations, Cash Management, and Funding activities.
- Managing and overseeing Treasury Risk Management mainly in Market Risk as Risk Management Guideline and Internal Control e.g. Risk monitoring and Assessment and Asset Liability Management.
- Leading and managing the assigned projects of E-Wallet and Digitalized Services to meet the expected results as the approved plans and resources.
- Monitoring the changes in laws and regulations or any issues relating to Treasury Operation areas and ensuring the compliance of all Treasury Operational processes.
- Coordinating and working as a team with all related internal and external parties to ensure the operational efficiency of Treasury Operations and the assigned project.
- Preparing and ensuring that all reports in a monthly, quarterly, and yearly basis are made and reported to Top Management, related parties, and the related government organizations as regulated.
**Qualifications**:
- Thai nationality. Not 28 years old.
- Bachelor's degree or higher in Finance and Banking, Risk Management, or any related disciplines
- Having at least 5 years of experience in accounting and finance functions.
- Having at least 3 years of experience in Treasury Operations, Treasury Risk Management, Securitization Operations, and Financial Risk Exposure (FX, Interest rate, Counterparty Risk, Hedging Derivatives).
- Possessing knowledge in Mobility as a Service (MaaS), Digitalization, Innovative and Financial Technology (FinTech) would be an advantage.
- Good command of both spoken and written English.
- Microsoft Excel, Power BI or any related analytic tools would be required.
- Having experiences in automobile hire-purchase or leasing business is a plus.
- Having good skills in communication, interpersonal, negotiation, analysis, and problem solving.
Investment Banking Executive
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KBank has a strong track record and reputation in investment banking (awarded as the Project Finance House of the Year in Thailand 2016 by The Asset magazine). We serve a diverse range of leading corporations, government departments and institutions by leveraging on our extensive network of clients and strategic partners in Thailand and within the global markets.
At KBank, you will be part of our teams of professionals with extensive experience in a variety of sophisticated fund-raising transactions including syndicated loans, acquisition financing, leveraged financing, M&A, financial advisories, REITs offering and structured financing transactions.
Responsibility
- Understand in-depth industry road map and customer's operation, financial model, business and owner's issues.
- Analyze, propose and develop total fund-raising solution (debt, hybrid, REITs, Syndication and structured finance)
- Create case strategy to win mandate and successfully deliver such solution.
- Collaborate and build such strong relationship with customer and total stakeholder
Qualification
- Master’s degree in Finance or Economic or related fields
- 3 years of experience in capital market transactions, lending, financial advisory, corporate consulting or related fields
- Possess a **strong foundation in finance, accounting and mathematics**.
- Possess strong **negotiation, team-working, analytical and presentation **skills.
- Are **hard-working **and able to **work under pressure**.**:
- **CFA charter holder is preferable**.**
Working Location
Kasikorn Bank Head office - Phaholyothin
Global Investment Banking- Analyst-thailand
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Starting your career in Investment Banking Division as an Analyst, you will be a key player in the execution of the firm's business.
**Responsibilities**:
- Assist in determining appropriate coverage strategy for both existing and potential clients, including large business groups and emerging / new economy companies
- Assist the team in generating ideas for existing and potential clients
- Assist in preparation of marketing materials and analyses for general client conversations as well as transaction-specific proposals
- Prepare presentations, ad-hoc analyses, and status updates for clients
- Communicate and coordinate with the working team of the syndicate banks, if any, on a day-to-day basis
- Analyze and comment on transaction documents and materials; e.g. Offering Circulars, Underwriting Agreements, Mandate Letters, Presentations
- Be fully aware and make sure to comply with all internal and external rules and regulations in all client dealings, thus abiding by the JPMorgan Chase Bank Code of Conduct and Risk & Compliance measures
**Requirement Qualifications, capabilities and skills**
- Bachelor’s degree in Finance, Economics or other related disciplines and a well-rounded academic background from a top tier educational institution
- Minimum 1 year Investment Banking (or equivalent such as Private Equity, Venture Capital, Corporate Strategy) experience
- Sufficient experience in leading Equity Capital Markets (ECM), Debt Capital Markets (DCM) and Merger & Acquisition (M&A) transactions
- Strong accounting, finance, quantitative and business communication skills.
- Impeccable communication details with the ability to effectively interact with senior professionals, clients and key stakeholders in other line of business.
- Self-directed, highly motivated, and able to work independently
**ABOUT US**
J.P. Morgan is a global leader in financial services, providing strategic advice and products to the world’s most prominent corporations, governments, wealthy individuals and institutional investors. Our first-class business in a first-class way approach to serving clients drives everything we do. We strive to build trusted, long-term partnerships to help our clients achieve their business objectives.
We recognize that our people are our strength and the diverse talents they bring to our global workforce are directly linked to our success. We are an equal opportunity employer and place a high value on diversity and inclusion at our company. We do not discriminate on the basis of any protected attribute, including race, religion, color, national origin, gender, sexual orientation, gender identity, gender expression, age, marital or veteran status, pregnancy or disability, or any other basis protected under applicable law. We also make reasonable accommodations for applicants’ and employees’ religious practices and beliefs, as well as mental health or physical disability needs. Visit our FAQs for more information about requesting an accommodation.
**ABOUT THE TEAM**
The Corporate & Investment Bank is a global leader across investment banking, wholesale payments, markets and securities services. The world’s most important corporations, governments and institutions entrust us with their business in more than 100 countries. We provide strategic advice, raise capital, manage risk and extend liquidity in markets around the world.
Financial Planning & Analysis Lead

Posted 5 days ago
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AbbVie's mission is to discover and deliver innovative medicines and solutions that solve serious health issues today and address the medical challenges of tomorrow. We strive to have a remarkable impact on people's lives across several key therapeutic areas - immunology, oncology, neuroscience, and eye care - and products and services in our Allergan Aesthetics portfolio. For more information about AbbVie, please visit us at Follow @abbvie on X, Facebook, Instagram, YouTube, LinkedIn and Tik Tok ( .
Job Description
Job Summary:
High visibility and exposure role. Responsible for leading the end-to-end FP&A process for Thailand Aesthetic business. Scopes include Business Partnering, Business Analysis & Reporting, Financial Planning activities, identifying risks/opportunities and developing mitigating actions. Potential successor to Finance Director.
Detailed description of MAIN tasks and responsibility:
Financial Planning, Analysis, & Reporting:
+ Lead the end-to-end FP&A (Management Reporting) process for Thailand Aesthetic business. Managing one team member within the FP&A team.
+ Provide analysis, recommendation, and business consultation to stakeholders.
+ Review and ensure accuracy of monthly, quarterly, and yearly closing.
+ Ensure timely and accurate submission of routine and ad-hoc reports and financial analyses to local, regional, and commercial teams.
+ Manage and ensure accuracy, reasonableness, and timeliness of all planning processes: monthly sales, quarterly financial estimates, quarterly forecast, annual budget, and long-term plans.
+ Liaise with Business Unit Directors on tracking sales and marketing performance; Manage/control all expenses, DOH, and other relevant financial and commercial KPIs.
+ Proactively identify risks and opportunities and prepare and propose appropriate plans.
+ Understand, analyze, and monitor price, price variance, and trends, to support decision making to commercial teams.
+ DSO and AR Collection monitoring.
+ Prepare and support reviews of various reports.
+ Participate and support various ad-hoc projects, as assigned.
Supply Chain Oversight (Backup to Finance Director)
+ Additional exposure and development on S&OP skillset.
+ Co-supervise demand forecast and logistics activities to ensure smoothly product flow with collaboration from various stakeholders.
+ Co-Coordinate with Regional Supply Chain/Logistics, QA, RA, Finance, and Commercial to ensure smoothly product flow.
Qualifications
Education and Experience:
+ More than 12 years experiences in financial roles, with a minimum six (6) years in financial reporting & planning experience.
+ Qualification in the field of Finance, Economic, Strategy or similar field is desired.
+ Expertise in Microsoft Excel and experience with SAP, Hyperion, Cognos, Hyperion, Longview, etc., will be essential.
+ MNC exposure preferred.
Essential Skills and Abilities:
+ Fluent in both spoken and written English, and Thai.
+ Detail oriented, and willing to be hands-on when necessary.
+ Enjoy highly challenging work that comes with satisfaction, with work direct influence on business and making impact day-to-day.
+ Comfortable working collaboratively with culturally and functionally diverse colleagues, in a fast and dynamic working environment.
+ Enjoy team development and able to provide support when necessary.
Competencies:
+ Good communication skills, able to get the message across in a clear, precise and simple manner.
+ Able to prioritize, plan, organize, and balance work, personal life, and other commitments, independently.
+ Ready to deep dive and get hands-on into various process.
+ Person who are Focus, Problem solver, detail & task oriented.
+ Strong analytical and problem-solving skills, and able to deliver under tight timelines.
+ Positive-plus and business-stewardship mindset.
Additional Information
AbbVie is an equal opportunity employer and is committed to operating with integrity, driving innovation, transforming lives and serving our community. Equal Opportunity Employer/Veterans/Disabled.
US & Puerto Rico only - to learn more, visit & Puerto Rico applicants seeking a reasonable accommodation, click here to learn more:
Risk Management Manager
Posted today
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- Promote risk management awareness among departments, branches and subsidiaries by coordinating review, update and monitoring of risk register and controls
- Monitor market risk of products
- Monitor operational risk and other risks such as legal, reputational and compliance risk and follow up on improvement areas
- Review operational manuals and new product launched and provide input from risk perspective
- Support regional Risk Management to align policies and practices and make timely and accurate reporting
- Support review of policies, development of methods to assess risks and ensuring the reliability of these methods.
- Support changes and modification to the overall Risk Management Framework and its related activities for further enhancement and efficiency.
- Analyze risk indicators and formulate solutions to address risks.
- Prepare, review risk reports and ensure execution of the action plans.
- Ensure risk management policies are implemented.
- Observe and comply at all times with all acts, laws, articles of associations, rules and regulations affecting the Company’s business and the securities industries and be conversant with all statutory modifications and reenactments as may be introduced thereto.
- Perform other functions as may be assigned by the superior from time to time.
- Display teamwork and work closely with other senior management at all times. Support KSK plan development and coordinate periodic KSK testing.
**Your will need to**
- Bachelor or Master in Law degree holder
- At least 3 years risk management experience in insurance (preferred), financial industry or law firm
- Ability to confront conflict and difficult issues in a professional, assertive and proactive manner
- Ability to communicate in English language (writing and speaking)
- Display personal qualities of integrity, credibility and strong work ethic
- Strong in leadership and has ability to work effectively in a team and multi-cultural environment
- Analytical, attention to details, and creative problem solving abilities
Assistant Manager, Operation Risk Management
Posted today
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Role responsibilities:
- Ensure compliance with all regulatory and statutory requirements that relate to risk management as set up by local regulatory supervisory bodies i.e. OIC, SEC
- Ensure compliance with the Group Risk Framework and its components and escalation of risk management issues to management, Risk Committee and its sub-committees, where required
- Facilitate the identification and assessment of Risks within PLT via the RCSA workshop. Assist in follow up report and documentation
- Monitor day to day risks and coordinates with other Department Heads and Risk Coordinators
- Maintain and update the Quarterly Key Risk reports, Control Plan and Incident Report
- Provide assistance to Operational Risk team on matters relating to oversight across all risks
Qualifications:
- Bachelor’s degree in Business Administration or Risk Management.
- Proficient in Microsoft Office Application.
- Minimum 3 years of experience in relevant area preferably in Life Insurance Business
- Knowledge of Risk Management and Insurance Industry
- Can work independently while goal and team oriented
Key Attributes:
- Fluent in English, both written and verbal
- Excellent communication and interpersonal skills
- Strong analytical and logical thinking skills with good attention to detail
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Cro - Senior Operational Risk Management Analyst
Posted today
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- Main responsibility is to handle and analyze information of bank incidents including fraud, misconduct, and mis-selling and generate the dashboard and report both for internal usage in the department and for presenting to the bank’s committee, executives, and other relevant value chain businesses.
**Main responsibilities**:
- Proactively gather and analyze information of fraud, misconduct, mis-selling, and other significant incidents
- In depth analyze in term of fraud pattern to create action plan to prevent fraud or other operational risk
- Track and monitor incident by come up with effective database and reports which can help support to manage the business
- Take initiative in develop the useful report for management decision
- Provide dashboard on fraud, misconduct, mis-selling and other significant incidents to relevant committees and executives
- Coordinate with the other Corporate Operational Risk Management functions and other business units e.g. Legal, BORMs, Compliance to gather the needed information
- Manage special assignments (if any)
- **Qualifications**:
- Master’s degrees or bachelor’s degree Major in any related fields
- Experience 3-5 years in Lending Products and Banking Business
- Able to use quantitative tools statistical modelling techniques, and data mining
- Proficient in SAS software, Advance Excel, Power BI, Power Point
- Strong analytic skills and systematic thinking
- Presentation and communication skill
- Positive attitude and Open mind
- Details and results oriented
- Initiatives and self-motivated, adapt to change and new things
**Location : HQ / **27A**
**For more information**:
Data Center Security Manager, Compliance, Safety, Risk Management
Posted 17 days ago
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Job Description
**Minimum qualifications:**
+ Bachelor's degree or equivalent practical experience.
+ 5 years of experience in managing, sourcing, or procuring business resources and vendors.
+ 5 years of experience in co-ordinating or managing resources for data center locations, and leading operational or project based work and tasks.
**Preferred qualifications:**
+ Master's degree or equivalent practical experience.
+ Experience in managing workforce.
+ Experience with Google application.
+ Knowledge of physical security, investigations, compliance, or risk management.
+ Knowledge of security technology including access control and CCTV.
Security is at the core of Google's design and development process: it is built into the DNA of our products. The same is true of our offices. You're an expert who shares our seriousness about security and our commitment to confidentiality. You'll collaborate with our Facilities Management team to create innovative security strategies, investigate breaches and create risk assessment plans for the future. You believe that providing effective security doesn't come at the expense of customer service - you will be our bodyguard (and our long lost pal).
As a Data Center Security Manager, you will lead projects with minimal guidance, leveraging your expertise in security technology, data analysis and visualization to drive team efforts. You will collaborate across teams, propose creative solutions and uphold Google's cultural values while contributing to a positive work environment. You will ensure security integrity, investigate breaches and implement effective solutions to safeguard our infrastructure.
Behind everything our users see online is the architecture built by the Technical Infrastructure team to keep it running. From developing and maintaining our data centers to building the next generation of Google platforms, we make Google's product portfolio possible. We're proud to be our engineers' engineers and love voiding warranties by taking things apart so we can rebuild them. We keep our networks up and running, ensuring our users have the best and fastest experience possible.
**Responsibilities:**
+ Oversee compliance, security and risk management programs for the data center campus including incident management, guard agreements and physical security issues.
+ Provide after hours on-call support and serve as the primary contact for emergencies, event response and crisis management.
+ Conduct investigations into code of conduct violations, workplace injuries and security incidents, as well as Threat, Vulnerability and Risk Assessments (TVRA).
+ Enforce compliance processes in alignment with Compliance, Safety, and Risk Management (CSRM) policies, standards and regulatory requirements.
+ Manage security-related budgets, forecasts and invoice control for the assigned campus while supporting financial analysis and decision-making for security requirements.
Google is proud to be an equal opportunity workplace and is an affirmative action employer. We are committed to equal employment opportunity regardless of race, color, ancestry, religion, sex, national origin, sexual orientation, age, citizenship, marital status, disability, gender identity or Veteran status. We also consider qualified applicants regardless of criminal histories, consistent with legal requirements. See also and If you have a need that requires accommodation, please let us know by completing our Accommodations for Applicants form:
Credit Risk Model Management
Posted today
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วันนี้
- คุณสมบัติพื้นฐาน
- งานประจำ- 2 - 5 ปี- กทม. (สาทร)- ปริญญาตรีหรือสูงกว่า- สามารถเจรจาต่อรองได้- หน้าที่และความรับผิดชอบ
- Overall:
- The main responsibility is to develop/manage credit risk models to- support for risk decision and risk measurement. Ensure the- appropriateness of credit model usage to support for company- direction and seek for the new opportunity for digital lending. Work- with data engineers within the group to develop alternative credit- scoring by using partnership data.- Roles and Responsibilities:
- 1. Develop and maintain credit risk models to support risk decision- and risk measurement.- 2. Develop and maintain credit risk model management framework- and ensure the credit models comply with regulatory standards- and appropriate for business strategy.- 3. Assist and work closely with business to ensure credit risk models- are appropriate and efficient for business direction and support for- new digital lending risk assessment and platform.- 4. Ensure all credit models are qualified to be used through model- life cycle. Regularly perform model monitoring, model assessment- and propose proactive action/ recommendation to improve the- model.- 5. Assist and design for business opportunity to develop alternative- credit score from partnership data.- 6. Collaborate with IT and data engineer to ensure data availability- and quality from various source to develop an efficient model.- 7. Establish and maintain the standards/guidelines for credit risk- model development and monitoring. Ensure the models are- compliant with all related regulation requirement.- คุณสมบัติ
- o Bachelor’s/Master’s or higher degree in Mathematics, Statistics,- Engineer, Data scientist or any related fields.- o At least 2-5 years experiences credit Risk modeling/ scoring in- retail banking, consumer finance or any financial business.- o Strong knowledge and skill in machine learning, credit scoring,- data analytics using R/ Python, SAS and SQL.- o Analytical mindset with excellent critical thinking ability and data- analytics skills.- o Excellent computer skills and programming tools.- o Good command in both written and spoken English.- o Prior experience in a digital leading or fin-tech start-up is a plusดูคุณสมบัติเพิ่มเติม
- สวัสดิการ
- Dental insurance (สิทธิการเบิกค่าทันตกรรม)
- กองทุนสำรองเลี้ยงชีพ
- การฝึกอบรมและพัฒนาพนักงาน
- ค่ายินดีมงคลสมรส
- ค่าใช้จ่ายในการเดินทาง
- ทำงานสัปดาห์ละ 5 วัน
- ประกันสังคม
- ประกันสุขภาพ
- ประกันอุบัติเหตุ
- ลาบวช
- เครื่องแบบพนักงาน, ชุดยูนิฟอร์ม
- เงินช่วยเหลือฌาปนกิจ
- เที่ยวประจำปี หรือเลี้ยงประจำปี
- โบนัสตามผลงาน/ผลประกอบการ
ดูสวัสดิการเพิ่มเติม