Jobs › Companies › GXBank › Market & Liquidity Risk Manager

Sobre este puesto de Market & Liquidity Risk Manager en GXBank

GXBank · Presencial · Petaling Jaya (First Avenue)

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).

Key Responsibilities

1. Risk Framework, Governance & New Product Reviews

  • Framework Maintenance: Implement, maintain, and regularly review the Bank's policies, procedures, and limit structures for Market Risk, Liquidity Risk, and Asset Liability Management (ALM) in compliance with multi-jurisdictional regulatory standards.

  • Risk Appetite Calibration: Collaborate with business functions and senior risk leadership to analyze, calibrate, and monitor bank-wide risk appetites, early warning indicators (EWIs), and risk-taking limits.

  • New Product Approvals (NPA): Conduct independent 2nd-line risk assessments for new product initiatives, treasury structures, and business programs to ensure liquidity and market risks are properly mitigated prior to launch.

2. Market Risk, IRRBB & Capital Analytics

  • IRRBB Modeling & Sensitivities: Provide independent oversight and monitoring of IRRBB. Maintain cashflow assumptions and track Economic Value of Equity (EVE), Net Interest Income (NII), and Earnings at Risk (EaR) sensitivities in alignment with MAS and BNM regulatory guidelines.

  • ICAAP Capital Support: Serve as the Second Line analytical lead for quantifying Market Risk and IRRBB capital requirements under the ICAAP framework. Apply and test internal risk-capital methodologies to maintain adequate capital buffers.

  • Transaction & Exposure Monitoring: Perform daily monitoring of market risk exposures, FX positions, derivatives, and yield curve sensitivities. Ensure absolute data integrity across market risk systems and processes.

3. Liquidity Risk Management & Stress Testing

  • Liquidity Metrics Oversight: Monitor and track regulatory and internal liquidity metrics across Singapore and Malaysia jurisdictions, including Liquidity Coverage Ratio (LCR), Net Stable Funding Ratio (NSFR), Intraday Liquidity, and survival horizons.

  • Liquidity Stress Testing: Run, calibrate, and enhance internal liquidity stress testing (ILST) models and scenario analyses, incorporating realistic macroeconomic shocks and behavioral deposit assumptions.

  • FTP & Balance Sheet Analytics: Provide independent challenge to Funds Transfer Pricing (FTP) frameworks, liquidity charges, and deposit behavioral models in partnership with Treasury.

4. Reporting, Data Automation & Regulatory Oversight

  • ALCO & Risk Committees: Synthesize complex analytics into actionable Management Information (MI) packs and executive dashboards for the Asset & Liability Committee (ALCO) and Risk Management forums.

  • Data Infrastructure & Automation: Partner with Data Engineering and Risk Analytics teams to automate risk data pipelines, validation checks, and real-time visualization dashboards (using SQL, Python, or BI tools).

  • Regulatory Monitoring: Keep abreast of macroeconomic trends and regulatory developments in Singapore (MAS 649, MAS 637) and Malaysia (BNM Policy Documents on Liquidity Risk, LCR, NSFR, Capital Adequacy Framework, and IRRBB), as well as key ASEAN markets, ensuring the Bank's practices remain fully compliant with regional financial regulatory standards.

Requirements

  • Experience: 6–10 years of progressive experience in Market Risk, Liquidity Risk, Treasury Risk, or ALM within a commercial or digital bank.

  • Education: Bachelor's degree or higher in a quantitative field (e.g., Quantitative Finance, Financial Engineering, Mathematics, Statistics, or Economics).

  • Domain & Regulatory Expertise: Deep understanding of treasury operations, financial instruments, liquidity metrics (LCR, NSFR, EWIs), IRRBB methodologies, and cross-border regulatory standards from MAS (e.g., MAS 649, MAS 637) and BNM (e.g., Policy Documents on Liquidity Risk, LCR, NSFR, Capital Adequacy Framework, and IRRBB).

  • Technical & Programming Skills: Hands-on analytical capability with prior experience in risk modeling and data tools (Python, SQL, R, and advanced Excel).

  • Capital Framework Knowledge: Familiarity with 2nd-line ICAAP risk-capital modeling and balance sheet stress testing methodology.

  • Communication & Gravitas: Strong presentation and communication skills, with a proven ability to translate complex financial concepts into clear executive insights for senior management, ALCO, and internal working groups.

  • Mindset: A self-starter with strong execution skills, comfortable operating in a fast-paced, tech-driven, and agile environment.

¿Listo para postularte en GXBank?
Postúlate en GXBank

Sobre GXBank

GX Bank Berhad (GXBank) is Malaysia’s first digital bank that commenced operation on 1 September 2023. With a workforce of more than 95% Malaysians from both the finance and technology sectors, the bank aims to disrupt the current banking industry with customised innovative solutions that empower Malaysians to be financially resilient and support their financial goals. Powered by Grab, GXBank is a subsidiary of GXS Bank Pte. Ltd., – the digital bank joint venture between Grab Holdings Limited and Singapore Telecommunications Limited (Singtel) – and a consortium of other Malaysian investors, including Kuok Group.

Ver todos los empleos en GXBank →

Empleos similares

Airwallex
Enterprise Risk Manager - UAE
Airwallex
⚡ Postúlate pronto AE - Abu Dhabi Presencial
● Nuevo 👁 Visto ✓ Postulado hace 2h
Airwallex
Senior Manager, Credit Risk
Airwallex
⚡ Postúlate pronto UK - London Presencial
● Nuevo 👁 Visto ✓ Postulado hace 2h
Airwallex
Senior Product Manager, AI Risk & Fraud Intelligence
Airwallex
⚡ Postúlate pronto US - San Francisco Híbrido $160,000–$230,000
● Nuevo 👁 Visto ✓ Postulado hace 2h
Younited
Credit Risk Manager (F/H)
Younited
⚡ Postúlate pronto Paris Híbrido
● Nuevo 👁 Visto ✓ Postulado hace 3h
Centrica
Credit Risk Analyst / Senior Credit Risk Analyst
Centrica
⚡ Postúlate pronto Greater London Híbrido
● Nuevo 👁 Visto ✓ Postulado hace 3h
Scalapay
Risk Analyst
Scalapay
⚡ Postúlate pronto Milan, Italy Presencial
● Nuevo 👁 Visto ✓ Postulado hace 3h
Fiserv
Fraud Risk Analyst
Fiserv
⚡ Postúlate pronto Berkeley Heights, New Jersey Presencial $74,000–$122,400
● Nuevo 👁 Visto ✓ Postulado hace 4h
GXBank
Treasury Business Analyst
GXBank
⚡ Postúlate pronto Petaling Jaya (First Avenue) Presencial
● Nuevo 👁 Visto ✓ Postulado hace 13h
GXBank
Senior Infrastructure Engineer
GXBank
⚡ Postúlate pronto Petaling Jaya (First Avenue) Presencial
● Nuevo 👁 Visto ✓ Postulado hace 3h

Regístrate para recibir sugerencias adaptadas a los empleos que abres y las búsquedas que guardas.

Más empleos en GXBank

Ver todos los empleos en GXBank →

Postúlate ahora
🤖

Un momento — para

JobsRadar se creó para personas reales que están pasando un mal momento en su búsqueda de empleo — no para solicitudes automatizadas. Estás haciendo clic demasiado rápido y ahora estás bloqueado temporalmente.

Vuelve más tarde. Si de verdad estás buscando empleo, cuentas con nosotros — solo compórtate como una persona.

Catch your next role the second it’s posted.

Create a free account and we’ll watch the boards for you — the instant a job matches your search, it lands in your inbox or Telegram. No digging, no refreshing.

Create free account

Free forever · takes 30 seconds · already have one?

Toma ventaja en tu búsqueda de empleo.

Únete a nuestro canal de Telegram para lo que te ayuda a conseguir el puesto — referencias salariales, el pulso semanal del mercado y avisos de nuevas funciones. Sin spam, solo señal.

Únete al canal — es gratis