Identify and monitor regulatory requirement and market trends/development of ESG such as net zero strategies, GHG protocols, physical and transition risks, renewable energy, biodiversity.
Conduct materiality assessments and risk type impact assessments for ESG risk management. Prepare analysis and reporting for senior management and committees.
Apply mathematical, accounting and qualitative knowledge/skills to develop risk metrics and climate risk model
Apply robust ESG risk model and calculation methodology to assess the conceptual soundness of the theory, quality of implementation and ongoing monitoring.
Assist with drafting, enhancing and incorporating stakeholder feedbacks into ESG related Policies and Procedures.
Support APAC region offices in implementation ESG risk management based on the local requirements.
Summarise and communicate ESG risk updates to senior management and relevant stakeholders
Assist with other responsibilities and tasks identified.
Requirements:
A degree, preferably finance, accounting, sustainability, or risk management.
At least 1 year of relevant working experience in Financial Institutions or ESG related organizations. Knowledge of sustainability from financial service institutions is an added advantage.
In-depth knowledge of end-to-end lifecycle of credit (underwriting, assessment, monitoring and management).
Possess good analytics skills with demonstrated strong verbal/written communication skills.
Proficient in MS Excel, Powerpoint and Word.
Knowledge and interest in ESG topics.
Self-motivated and strong team player with ability to work in multicultural team.
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