SCBAM-Investment Risk Management
āļāļĩāđāļāļāļēāļāļēāļĢāđāļāļĒāļāļēāļāļīāļāļĒāđJob Description
- Perform periodic and ad-hoc tasks for fund performance and risk reporting using pre-specified performance attribution and risk models.
- Setup portfolio benchmark when there are new portfolio and benchmark revision and ensure that the benchmark is calculated correctly
- Quantify and analyses performance and risk measures including Value-at-Risk (VaR), Tracking Error, Risk-Adjusted Return, as well as conduct portfolio backtesting
- Conduct and analyze Stress Testing scenarios useful for investment management process.
- Continuously improve workflow processes for data extraction, validation, quantification, and data analysis.
- Research, implement or develop quantitative tools and maintain required numerical data as being assigned.
- Ensure compliance with rules and regulations established by SCB, SEC, BOT as well as internal rules and external regulations related to Asset Management business.
- Monitor and review risk dashboard reported to risk management committee.
Qualifications
- Master's Degree in Finance, Economics, Financial Mathematics, Financial Engineering, Computer Science, Risk Management, or related fields.
- Minimum 2 years of experiences in Investment Management, Risk Management, or related field would be an advantage.
- Experienced in using investment related systems such as Bloomberg, BarraOne, Factsets, Morningstar would be an advantage.
- Possess knowledge in fixed-income and derivatives would be an advantage.
- Strong analytical skills and quantitative skills with ability to handle intensive numerical data.
- Advanced skills in computer programming i.e. VBA, PowerBI, Python, SQL, R would be a plus.
- Self-Motivated, Proactive, Well Organized and Ability to work under pressure.
- Ability to handle multiple assigned tasks at a time while still paying attention to details.
- Good communication, presentation and writing skills.
- Good command in both spoken and written in English
āļāļąāļāļĐāļ°āļāļĩāđāļāļģāđāļāđāļ
- Risk Management
- Data Analysis
- Research
- English (Good)
āļāļĢāļ°āļŠāļāļāļēāļĢāļāđāļāļĩāđāļāļģāđāļāđāļ
- 2 āļāļĩ
āļāļąāļāļĐāļ°āđāļāļīāđāļĄāđāļāļīāļĄ
- Compliance
- Finance
- Python
āđāļāļīāļāđāļāļ·āļāļ
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āļŠāļēāļĒāļāļēāļ
- āļāļēāļĢāđāļāļīāļ
- āļāļąāļāļ§āļīāđāļāļĢāļēāļ°āļŦāđ
āļāļĢāļ°āđāļ āļāļāļēāļ
- āļāļēāļāļāļĢāļ°āļāļģ
āđāļāļĩāđāļĒāļ§āļāļąāļāļāļĢāļīāļĐāļąāļ
āļāļāļēāļāļēāļĢāđāļāļĒāļāļēāļāļīāļāļĒāđ āļāļģāļāļąāļ (āļĄāļŦāļēāļāļ) āļŦāļĢāļ·āļ SCB āđāļāđāļāļāļāļēāļāļēāļĢāļāļēāļāļīāļāļĒāđāđāļŦāđāļāđāļĢāļāļāļāļāļāļĢāļ°āđāļāļĻāđāļāļĒ āļāđāļāļāļąāđāļāļāļķāđāļāđāļāļĒāļāļĢāļ°āļāļĢāļĄāļĢāļēāļāļēāļāļļāļāļēāļāđāļĄāļ·āđāļāļ§āļąāļāļāļĩāđ 30 āļĄāļāļĢāļēāļāļĄ āļ.āļĻ. 2449 āļāļĨāļāļāļĢāļ°āļĒāļ°āđāļ§āļĨāļēāļāļ§āđāļē 110 āļāļĩāļāļĩāđāļāđāļēāļāļĄāļē āļāļāļēāļāļēāļĢāļĄāļĩāļāļāļāļēāļāļŠāļģāļāļąāļāđāļāļāļēāļĢāļāļąāļāļāļēāļ āļēāļāļāļēāļĢāđāļāļīāļāļāļāļāļāļĢāļ°āđāļāļĻ āļāļāļēāļāļēāļĢāđāļŦāđāļāļĢāļīāļāļēāļĢāļāļēāļāļāļēāļĢāđāļāļīāļāļāļĩāđ ...
āļĢāđāļ§āļĄāļāļēāļāļāļąāļāđāļĢāļē: Joining Siam Commercial Bank means becoming part of a legacy that has been instrumental in shaping Thailand's banking industry. At SCB, we value innovation, collaboration, and a commitment to excellence. Employees are provided with opportunities for professional gro ...
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