Business
Online

Risk Analyst
“About Business Online PCL.
BOL is a leading provider of business information and analytical tools, and our aim is to enable our customers in a fast and effective decision-making process. We continuously develop leading innovations to offer new dimensions from our expanding business data base to help companies effectively analyze and interpret business risks and opportunities. BOL’s vision is to become a leader in information services and assisting business decision-making for customers in Thailand and in the ASEAN region.”
Job Description
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Strategic Risk Consulting:
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Provide strategic consulting services to banks, focusing on risk management solutions to meet and exceed project agreements and regulatory requirements.
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Solution Development:
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Lead the design, development, and implementation of advanced market risk and
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liquidity risk management solutions for banking clients.
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Oversee the creation and refinement of quantitative risk management routines,
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including Asset Liability Management (ALM), Fund Transfer Pricing (FTP), and complex financial simulations.
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Framework Design and Enhancement
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Architect and enhance robust market risk frameworks to support banks at an advanced
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level, ensuring alignment with evolving business needs and regulatory changes.
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Develop and implement risk models and methodologies to quantify and manage
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market and liquidity risks effectively.
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Collaboration and Implementation:
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Provide guidance and oversight during the implementation process to ensure that
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solutions meet the highest standards of quality and effectiveness.
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Research and Innovation:
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Conduct in-depth research on market risk frameworks, tools, and methodologies to stay at the forefront of industry trends and innovations.
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Develop white papers, case studies, and best practices to share insights and drive thought leadership in the field of risk management.
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Client Relationship Management:
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Build and maintain strong relationships with key clients, acting as a trusted advisor on risk management matters.
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Engage with senior stakeholders and executives to understand their risk management
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needs and provide tailored solutions.
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Regulatory Compliance:
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Provide expert advice on regulatory changes and their impact on clients' risk management practices
Job Qualifications
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Bachelor's degree or Master's degree in Finance, Accounting, Economics, or related fields. An MBA or a relevant advanced degree is highly preferred.
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Extensive experience: over 2 years in credit risk, market risk, risk management,
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including liquidity management, asset liability management, or fund transfer pricing is essential.
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Knowledge of Basel II & III including all relevant BOT requirements and international regulatory standards.
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Exceptional presentation, communication, and negotiation skills, capable of engaging with senior stakeholders and executives effectively.
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Fluent in spoken and written English.
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Outstanding interpersonal skills with the ability to influence, motivate, and drive change within organizations.
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Strong analytical and problem-solving skills, with the ability to think strategically and innovate.
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Proficiency in risk management software and tools, with a deep understanding of their application in market risk and liquidity risk management.
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Commitment to continuous learning and staying updated with the latest developments in risk management and regulatory standards
สวัสดิการ
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ประกันสุขภาพ
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ประกันสังคม
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กองทุนสำรองเลี้ยงชีพ
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เยี่ยมไข้ เยี่ยมคลอด
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ของขวัญวันเกิดพนักงาน
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ตรวจสุขภาพประจำปี
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เงินช่วยเหลืองานมงคลสมรส
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เงินช่วยเหลืองานศพ
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การฝึกอบรมและพัฒนาพนักงาน
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ค่าตอบแทนพิเศษ
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โบนัสตามผลงาน / ผลประกอบการ