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- Evaluate and improve management of climate-related risks in accordance with regulatory and Parent Bank requirements.
- Compile regulator reports regarding climate-related risk areas, including CCPT reporting.
- Produce climate-related risk reports for Management Committee and Board Committee. Address inquiries from regulators, auditors, and Management.
- Enhance bank's Climate Risk Framework through review and updates.
- Contribute to climate risk scenario analysis and stress testing.
- Assess significant risk areas to identify bank's key climate-related sectors.
- Enhance and maintain climate-related data repository for effective risk management.
- Strengthen climate risk appetite, management methodology, metrics, and objectives through review and enhancement.
- Collaborate with Business Units to facilitate customer transition towards sustainability.
- Contribute to the development of sustainability reporting and disclosure.
- Stay informed on ESG developments within Parent Bank, the banking sector, and regulatory landscape.
- Tertiary education with at least five years of experience in risk management, sustainability management, data management, and reporting.
- Proficient in sustainability/climate-related regulatory requirements and standards - BNM, Bursa Malaysia, UN, etc.
Risk Management - Malaysia, Kuala Lumpur - TalentWork
Description
Job Summary:Our Client, a well-established Foreign Bank in Malaysia is seeking a skilled and experienced Climate Risk Manager to join their dynamic Risk division. The successful candidate will be responsible to assess and manage climate-related risks within the bank's portfolio.
Key Responsibilities: