Manager, Middle Office
Royal Bank of Canada
- Kuala Lumpur Putrajaya
- Permanent
- Full-time
- Leads in the development of complex quantitative and analytical risk metrics and reports to manage, measure, and monitor global risk exposures. Directs and manages the independent validation of investment models.
- Advises senior managers on global risk concerns; provides recommendations to ensure that global risks are managed, measured, monitored, and properly reported.
- Supports senior managers in establishing risk tolerance limits and developing risk management standards of practice for investments that are consistent with industry standards.
- Develops a Global Risk team strategy to ensure alignment with business objectives; leads special projects to advance risk management practices as needed.