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Manager, Financial Risk

Great Eastern

kuala lumpur, kuala lumpur, Malaysia Full-time June 22, 2026

Found Description

To develop, implement and maintain the financial risk modelling framework and quantitative infrastructure to support effective identification, assessment, measurement and monitoring of financial risks across the organisation. This includes ownership of modelling methodologies, scenario capabilities, and analytics engines underpinning financial risk management. The role is also responsible for translating modelling outputs into clear Profit & Loss and Comprehensive Income impacts, including under MFRS17 basis, to support earnings volatility assessment, financial planning, and management decision-making.

Responsibilities

  • Develops and maintains financial risk models and end-user computing (“EUC”) tools, ensuring robustness, accuracy and alignment with internal and regulatory requirements.
  • Owns and enhances the modelling infrastructure and methodologies, including ALM models, stress testing engines, and scenario libraries, to support financial risk asses...

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