Deskripsi Pekerjaan
Launch your career in financial risk management with Societe Generale's exclusive 12-month trainee program in Singapore. This hands-on role offers unparalleled exposure to global risk frameworks while supporting critical compliance initiatives. You'll collaborate with industry experts to strengthen our risk governance framework through rigorous documentation reviews and gap analysis initiatives. This position provides immersive experience in risk appetite calibration, regulatory compliance monitoring, and control effectiveness evaluation. Ideal for recent graduates seeking to develop practical expertise in financial risk management within a leading international bank.
As a key contributor to our risk management ecosystem, you'll gain insights into credit, market, and operational risks while contributing to strategic risk mitigation projects. The program includes mentorship from senior risk professionals and exposure to cutting-edge risk analytics tools. This is a transformative opportunity to build foundational skills that will accelerate your career trajectory in the financial services sector.
Tanggung Jawab
- Support annual review and documentation updates for Risk Appetite Statement (RAS) and Risk Management Framework (RMF)
- Conduct comprehensive gap analyses to identify risk control deficiencies and improvement opportunities
- Assist in developing risk mitigation strategies aligned with regulatory requirements and business objectives
- Participate in risk assessments across credit, market, and operational risk domains
- Prepare risk reports and executive summaries for senior management review
- Monitor compliance with risk policies and regulatory guidelines (MAS, Basel III)
- Contribute to risk control testing and validation procedures
- Support implementation of enterprise risk management initiatives
Kualifikasi
- Bachelor's degree in Finance, Economics, Business, or quantitative field (recent graduates encouraged)
- Strong analytical skills with attention to detail in risk documentation
- Basic understanding of risk management frameworks (e.g., COSO, ERM)
- Proficiency in Microsoft Office Suite (Excel, Word, PowerPoint)
- Excellent written and verbal communication skills
- Ability to work collaboratively in cross-functional teams
- Proactive learning attitude and adaptability to fast-paced environments
- Knowledge of financial regulations (MAS, Basel) is advantageous