Title: Risk Management Officer
Company Name: Dhaka Bank PLC.
Vacancy: --
Age: Na
Job Location: Anywhere in Bangladesh
Salary: --
Experience:
Minimum Bachelor Degree
Minimum 5 years' experience, including 2 years mandatory experience in RMD/Basel/Credit or Treasury.
Excellent verbal and written communication skills both in Bangla and English
Excellent analytical skills
Functional Role: Risk Analyst (Bond Investment), RBS Desk, Operational Risk Analyst, Research & Policy Development, BASEL Desk & PCA Desk
Designation: PO-SPO
Key Accountabilities
Issuance of Sub-Ordinated Bond (Approval & Regulatory Compliance)
Analyzing & identifying Market Risk, Operational Risk, Monitoring the implementation of Basel III across the bank
Calculating & Raising the required Capital under Tier-2
Analyzing, Evaluating & Preparing proposal for investment in Tier-2 Bonds and Mutual Funds
Monitoring the indicators of PCA Framework and identify early warning signals
Assessing the Risks under PCA and taking appropriate steps for risk mitigation
Developing the Recovery Plan of the Bank
Collecting & Coordinating with related Divisions and Providing Information/Data for RBS,
Present Reports to the Management & Coordinate with Bangladesh Bank on RBS progress, emerging risk and conduct assessment of inherent risk
Arrange periodic meeting with the RBS Coordination Committee & Central Bank,
Implementing & monitoring the Key Risk Indicator (KRI)
Identifying the vulnerable areas related to operational risk
Assisting in managing risks related to lapses in people, process and system
Monitoring unsettled issues (identified fraud/forgeries, major irregularities etc.) through ICC
Monitoring compliance of observations of Bangladesh Bank
Developing, testing, and using different models (Collection scoring, Vintage curve etc.) for measuring/assessing risks
Reviewing effectiveness of enterprise-wide risk governance framework and recommending necessary policy measures
Conducting research to explore reasons behind concurrence of the identified risks
Assisting senior management in formulating strategic planning considering bank's risk exposures and industry as a whole.
Preparing a consolidated Risk Appetite Statement (RAS)
Calculating & Analyzing the ICAAP report under Basel III