Join MUFG, where being inspired is expected and making a meaningful impact is rewarded. As an Analyst, Liquidity Risk and Product Control, you will play a hybrid role in liquidity and market risk management, working with stakeholders to streamline and standardize balance sheet reporting and contingency funding plan of APAC branches.
Requirements
- Bachelor’s degree in accounting, business, data science, statistics, quantitative finance, economics
- No prior experience required. Candidates with relevant internship experience may also be considered.
- Basic understanding of Balance Sheet, ALM and funding risk management is desirable
- Good knowledge of banking, money market and derivatives products
- Experience in using Tableau, Excel with VBA skills, Power Query
- Analytical mindset to extract meaningful insights and trends from data
- Prior experience in data visualisation, process streamlining, working with large and complex data sets and ability to conceptualise automated control solutions is preferred
- Good problem-solving skills to take initiative and handle projects involving multiple stakeholders
- Good initiative and inter-personal skills, ability to work efficiently in a team and independently.
- Good communication skills (both verbal & writing) with colleagues in Singapore and regional branches.