Credit & Market Risk Officer

PT BNI Sekuritas

Full Time Jakarta Selatan S1 Min. 2-3 Tahun Deadline 31 Jul 2026

Diperbarui 7 jam yang lalu

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Jurusan yang Dibutuhkan

Keuangan Akuntansi Ekonomi Manajemen Risiko

Job Description:

  • Assess applications for new, extended, and closed margin facilities.
  • Monitor margin contracts, collateral adequacy, and customer margin ratios.
  • Manage settlements for margin and regular account customers.
  • Coordinate margin limit adjustments and account openings with relevant business units.
  • Prepare credit reports and support audits, regulatory examinations, and regulatory reporting.

Requirements:

  • Bachelor's degree in Finance, Accounting, Economics, Risk Management, or a related field.
  • Minimum 2-3 years of experience in credit risk, market risk, or margin trading operations.
  • Strong understanding of margin trading, collateral assessment, and credit risk monitoring.
  • Familiar with OJK capital market regulations (preferred).
  • Analytical, detail-oriented, and able to collaborate across functions.
  • Proficient in Microsoft Excel; experience with risk monitoring systems is an advantage.
  • Strong communication skills and able to work under tight deadlines.
  • Holds a valid WPPE (Wakil Perantara Pedagang Efek) certification.
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