Manage the bank's risk and compliance department.

Develops, administers and monitors the programs the ensures the bank's compliance with laws, regulations and rules.

Responsible for scheduling and conducting compliance audits.

Respondible for performing the annual enterprise-wide risk assessment.

Developing and implementing best practice process to manage all aspects of operational risk in line with the Bank's risk management framework and CBM guidelines.

Desired Skills:

Post graduate degree in Banking or finance is preferable.

At lease 3+ years of experiences in risk management or internal audit in bank industry or financial institution.

Sufficient knowledge of CBM's regulation.

Understanding in compliance and operational risk management practice especially in bank industry or financial institution.

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