Manager, Research & Risk

Malaysia, Kuala Lumpur
Salary will commensurate with experience

An international oil & gas company with business focusing in offshore production and storage facilities is currently on the lookout for a Manager, Research and Risk. This position will be based at our client’s office in Kuala Lumpur, Malaysia. With at least 10 years of experience in Finance Risk Management and Corporate Finance, you will be in charge of the Company’s Financial Risk and Research activities. Send your updated CV to us now for consideration if you meet the requirement.


  • Provide secondary research and news updates on Malaysia and International Financial Market, in the specific areas of interest rate and foreign exchange markets
  • Provide forecast on interest rates and foreign exchange rates on the relevant currencies based on summary of forecasts from financial institutions and/or research houses
  • Responsible to conduct research of Foreign Exchange Rulings and banking activities of foreign countries in which the Company may have plans to invest and/or grow its existing business
  • In charge of the adoption, implementation and compliance of Organization Corporate Financial Policy (CFP) and CFP Supporting Guidelines for Group level. Also, monitor and report compliance with exchange control, capital control mechanisms and relevant banking laws of Malaysia and the countries that Company have business interests in
  • Manage and monitor Company's Financial Risk exposure
  • Report Financial Risk Appetite on quarterly basis
  • Monitor the Financial Risk Hedging by conducting the hedge effectiveness testing
  • Manage submission of the Consolidated Finance Risk Reporting Requirement (CFR3)
  • Acting as focal party for Finance to Company Risk Management Department in terms of risk profiling monitoring and reporting, such as Finance Risk Register, Finance Risk Scorecard, INTERISK System maintenance and other relevant reports
  • In charge of Company’s user access and monitor for compliance to Credit Risk Rating System (PCRRS)


  • Minimum Bachelor Degree in Accounting/Finance or other related professional qualification
  • More than 10 years in Finance Risk Management, Corporate Finance
  • Experience in International Financial Risk Management and Malaysian and international exchange control regulations will be an added advantage

If you feel you fit the criteria and would like to take your career to the next step then please apply via the website or forward your CV to

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