Responsibilities Work closely with the Head of Risk to ensure market, liquidity and credit risks comply to regulations Prepare and submit head office and regulatory reports Review and update risk policies and procedures Work with business stakeholders on queries relating to risks matters Requirements Degree with 1 year of corporate bank experience in risk reporting such as market, liquid or credit Understanding of market/liquidity/credit risks Good risk awareness mindset to work closely with senior management Good communication and writing skills Interested applicants, please email a copy of resume to [email protected] for a discussion.