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AVP, Product Control & Governance

Posting Date:  29 Nov 2024
Location: 

Bangkok (City Area), TH, 10110

Company:  UOB (Thai) Public Company Limited

About UOB

United Overseas Bank Limited (UOB) is a leading bank in Asia with a global network of more than 500 branches and offices in 19 countries and territories in Asia Pacific, Europe and North America. In Asia, we operate through our head office in Singapore and banking subsidiaries in China, Indonesia, Malaysia and Thailand, as well as branches and offices. Our history spans more than 80 years. Over this time, we have been guided by our values – Honorable, Enterprising, United and Committed. This means we always strive to do what is right, build for the future, work as one team and pursue long-term success. It is how we work, consistently, be it towards the company, our colleagues or our customers.

About the Department

Risk Management is responsible for managing the risks arising from the business activities and ensuring these risks remain within the overall risk appetite established by the Board and Senior Management. This involves identifying and evaluating the risks and developing effective risk governance and strategies to manage them. Risk Management is organized according to the management of material risk types i.e. credit risk, market risk, balance sheet risk and operational risk. This allows us to develop and to leverage on specialized knowledge and skills required for the effective management of risks. 

Job Responsibilities

•  Production of daily Profit and Loss (P&L) reports to monitor trading portfolio performance.
•  Perform analysis and attribution of portfolio P&L due to market movements.
•  P&L reconciliation against General Ledger.
•  Trade surveillance, including OMR monitoring, FX Global Code Monitoring, and Wash Trade Monitoring
•  Be a key contact point for treasury P&L and valuation issues, interacting with Treasury front office, Finance, Market Risk Managers and Group Head Office counterparts.

 

 

Job Requirements

• Preferably 7 years working experience in the financial industry, preferably in Market Risk Management, Product Control, Treasury Business Finance, or related middle office roles.
• Bachelor or Master’s degree in Finance, Accounting, Economics, MBA or related areas.
• Knowledge of Treasury product is required. Working knowledge of Murex is an advantage.
• Programming skills in VBA, SQL or Python would be beneficial.
• Fluency in English and good in MS Excel.
• Highly numerate and strong analytical skills.
• Good team player with drive, initiative, have an eye for detail and able to work independently under pressure to produce accurate and timely work.

 

หมายเหตุ : ธนาคารมีความจำเป็นจะต้องดำเนินตรวจสอบและเก็บข้อมูลประวัติอาชญากรรมของผู้สมัครในตำแหน่งงานนี้เพื่อตรวจสอบคุณสมบัติหรือลักษณะต้องห้ามตามนโยบายของธนาคาร 

Remark:   The Bank requires the checking and collection of criminal records for candidates of this position in order to verify qualifications and/or disqualifications for the job position in accordance with the Bank’s policy. 

Be a part of UOB Family

UOB is an equal opportunity employer. UOB does not discriminate on the basis of a candidate's age, race, gender, color, religion, sexual orientation, physical or mental disability, or other non-merit factors. All employment decisions at UOB are based on business needs, job requirements and qualifications. If you require any assistance or accommodations to be made for the recruitment process, please inform us when you submit your online application.


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