Job Description:
Successful applicant will help clients in financial institutions to tackle numerous challenges of risk management and provide specialized integrated risk management services. The role includes risk measurement and modeling, financial instrument valuation, hedging analysis, and capital management.
Requirements:
– Possesses a Bachelor’s degree in Actuarial Science, Mathematics, Statistics, Engineering, Finance, Accounting, Economics, or Business from a reputable institution; an advanced degree and professional certification (e.g. FRM / CFA) will be a bonus.
– Familiar with Microsoft Office (Excel, Word, PowerPoint), knowledge on programming tools and statistical software such as R, SAS, SQL, MATLAB are also preferable.
– Interested in customer engagement with understanding on leading practices and industry challenges.
– Excellent skills in both written and verbal Bahasa Indonesia and English.
– Strong analytical thinking, problem solving skills, presentation and communication skills.
– Execution focused and proven ability to get things done.
Link:
Click here to apply!