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Senior Associate / Assistant Manager - Financial Industry Risk & Regulatory (Risk Advisory)

Date:  10-Jun-2021
Service Line / Portfolios:  Regulatory & Legal Support
Location: 

Jakarta, ID

Senior Associate / Assistant Manager - Financial Industry Risk & Regulatory (Risk Advisory): PT Deloitte Konsultan Indonesia (based in Jakarta) – Senior Associate / Assistant Manager

What impact will you make?

At Deloitte, we offer a unique and exceptional career experience to inspire and empower talents like you to make an impact that matters for our clients, people and community. Whatever your aspirations, Deloitte offers you a highly inclusive, collaborative workplace and unrivalled opportunities to realize your full potential. We are always looking for people with the relentless energy to push themselves further, and to find new avenues and unique ways to reach our shared goals.

So what are you waiting for? Join the winning team now.

Work you’ll do

 

  • Market Risk and Treasury engagement delivery
  • Opportunity pursuance and bulding market eminence
  • Providing insight and market/industry practice to the clients
  • Internal and external transfer knowledge 
  • Reporting and managing clients


Your role as a leader

At Deloitte, we believe in the importance of empowering our people to be leaders at all levels. We expect our people to embrace and live our purpose and shared values, challenging themselves everyday to identify issues that are most important to our clients, our people and the communities, and to make an impact that matters. In addition to living our purpose, Senior Associates / Senior Consultants / Assistant Manager across our Firm are expected to:

 

  • Understand objectives for stakeholders, clients and Deloitte whilst aligning own performance to objectives and sets personal priorities.
  • Develop themselves by actively seeking opportunities for growth, shares knowledge and experiences with others, and acts as a strong brand ambassador.
  • Seek opportunities to challenge themselves, collaborate with others to deliver and takes accountability for results.
  • Build relationships and communicates effectively in order to positively influence peers and stakeholders.
  • Work effectively in diverse teams within a highly inclusive team culture where everyone is supported, respected and recognized for their contribution.


Requirements

 

  • Bachelor’s or Master’s Degree in Engineering, Mathematics, Statistics, or Economics
  • Minimum of 3-5 years in market risk at financial institutions/consulting firms
  • Experienced in statistical tool (SAS, R, Python, MATLAB)
  • Experienced in Market Risk model development e.g. VaR, Expected Shortfall, and validation
  • Experienced in analytical and statistical tools, such as SAS, R, or Python
  • Good knowledge of Basel II requirements and capital requirements, especially on market risk
  • Well versed in Treasury products e.g. FX, Money Market, IRS/ CCS, Options, Equity, and Fixed Income
  • Experienced in Treasury Systems and Risk Management Tools
  • Good understanding of Liquidity Risk Management, Basel III, Stress Testing, and FRTB
  • Able to communicate across all stakeholders in an organization
  • Professional certifications will be considered as added value
  • Quantitative training and strong problem solving skills


Due to volume of applications, we regret only shortlisted candidates will be notified.

 

Requisition ID:  45686

In Indonesia, the services are provided by Imelda & Rekan and other related entities in Indonesia ("Deloitte in Indonesia"), which are affiliates of Deloitte Southeast Asia Ltd. Deloitte Southeast Asia Ltd is a member firm of Deloitte Touche Tohmatsu Limited. Deloitte in Indonesia, which is within the Deloitte Network, is the entity that is providing this Website.

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