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Executive, Climate Risk

Executive, Climate Risk

Bank Rakyat MalaysiaKuala Lumpur, MY
30+ hari lalu
Penerangan pekerjaan

To perform climate risk stress test and scenario analysis -Support the development of climate risk stress testing and / or scenarios analysis, including physical risks (e.g., floods, droughts) and transition risks (e.g., policy changes, technological shifts), in alignment with regulatory and industry standards. -Collaborate with internal and external stakeholders to ensure scenarios are relevant, forward-looking, and tailored to the organization’s risk profile. -Collect, validate, and analyze data required for climate risk stress testing, including climate data, financial data, and macroeconomic indicators. -Utilize quantitative models and tools to assess the impact of climate risks on key financial metrics (e.g., credit risk, market risk, liquidity risk). To conduct climate risk analytics. -Assist in development and enhancement of climate risk models to assess financial and operational impacts. -Collect, analyze, and interpret climate-related data, including physical and transition risks. -Utilize advanced analytics techniques, such as statistical modeling and scenario analysis, to quantify climate risks. To prepare reporting and documentation. -Prepare reports on stress testing outcomes, including key findings, risk exposures, and recommended actions for senior management and regulatory submissions. -Ensure timely submission of climate risk stress test and / or scenario analysis reports to regulatory bodies. -Maintain comprehensive documentation of stress testing methodologies, assumptions, and results to ensure audit readiness and regulatory compliance. Assist or involve in any projects or initiatives related to sustainability or climate risk or any relevant task as assigned by the immediate supervisor. -Provide support and comprehensive recommendation on sustainability project such as carbon accounting, decarbonation strategy, green product development, transition plan, and carbon market. To ensure the compliance of governance in policy development. -Assist in developing and maintaining governance framework for climate risk management and ensuring alignment with regulatory expectations and / or international standards (e.g., Bank Negara Malaysia’s Climate Risk Management and Scenario Analysis, GHG Protocol, ISO 14064). -Ensure integration of climate risk considerations into the organization’s risk management framework. To conduct climate risk assessment and strategy. -Assist in conducting climate risk assessments and scenario analysis to evaluate potential impacts on the organization. -Assist in the development and / or enhancement of the ESG scorecard related scorecard or assessment including the effectiveness of implementation. -Support the development of risk mitigation strategies aligned with climate-related financial risks. -Collaborate with relevant stakeholders (e.g., Sustainability, Business Units) to integrate climate risk considerations into decision-making processes. Assist or involve in any projects or initiatives related to sustainability or climate risk or any relevant task as assigned by the immediate supervisor. -Provide support and comprehensive recommendation on sustainability project such as carbon accounting, decarbonation strategy, green product development, transition plan, and carbon market. To conduct Capacity Building and Awareness. -Assist and involved in training sessions relevant sustainability or climate risk related policy and procedure. -Engage with internal and external stakeholders, including regulators, investors, and sustainability networks. [Apply now at https : / / my.hiredly.com / jobs / jobs-malaysia-bank-rakyat-malaysia-job-executive-climate-risk]

  • Bachelor's degree in Finance, Environmental Science, Sustainability, Risk Management, Economics, or a related field -Professional certification e.g., relevant certification related to sustainability or climate risk (e.g., Climate Risk by AICB, Certified Expert in Sustainability Finance by ABS, GHG Practitioner or Professional by BSI), BRM, CB or related to risk management is an added advantage. -Minimum of 2-4 years of experience in stress test, scenario analysis, risk management, climate risk or sustainability. -Good understanding of sustainability and climate risk, financial risk modelling, financial economics, and statistics. -Good understanding or knowledge of sustainability or climate risk related framework, guidelines and sustainability (e.g., VBIAF, BNM CRMSA, BNM CCPT, BNM CRST, GHG Protocol, ISO 14064).
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