Job Description
- Undertake surveillance and escalation of issues to Management on (1) new and emerging vulnerabilities in the global and domestic financial system, (2) risks to domestic financial stability including implication to domestic financial market participants from developments in the global and domestic financial markets, and (3) emerging financial issues (e.g. crypto-assets, new financial products) that could pose risks to domestic financial stability, hereinafter referred to as the “surveillance areas".
- Formulate and recommend appropriate policies to mitigate risks to financial stability.
- Develop communication materials on financial markets to be presented to the Bank’s management and stakeholders, such as members of the Financial Stability Committee, Financial Stability Executive Committee and Board, and publications.
- Produce inputs on financial market developments that may impact financial stability to facilitate Management’s participation at international meetings.
Responsibilitie
s
Nature of Accountabilities and Competenci
- esAnalyse data, news and other forms of information to produce an assessment on the surveillance area
- s.Conduct research in the area of financial stabilit
- y.Enhance indicators, assessment methodologies and analytical framework on a timely manner, to preserve robustness of the team’s assessmen
- t.Engage internal and external stakeholders, including Heads of Treasury of financial institutions and other regulators on a periodic manner for market insight
- s.Escalate and present assessment to Management and other departments in the Ban
- k.Learn new knowledge and skills to improve understanding of contemporary financial stability issue
- s.Improve the knowledge and capacity of the department by conducting knowledge sharing sessions on the surveillance area
s.
Qualificati
- onsAcademic Qualifications: Basic Degree or professional qualification that are related to mathematics, statistics, economics, computer science or financial services indus
- tryExperience: Preferably at least 2 years working experience in the area of research, analytics, risk or financial stability analysis and surveilla
nce
Only shortlisted candidate will be noti
fied