Financial Risk Analyst

75222
  • Market related
  • Asia and Pacific
  • Permanent

Job Title: Financial Risk Analyst
Location: Kuala Lumpur, Malaysia
Employment Type: Permanent / Full-time

Join a dynamic corporate finance team, supporting strategic decisions and strengthening financial resilience through effective risk assessment, reporting, and governance. This is a fantastic opportunity for a finance professional with experience in risk management, foreign exchange, and credit/liquidity analysis to make a direct impact in a fast-paced environment.

Key Responsibilities:

Foreign Exchange Risk Management

  • Monitor and administer foreign exchange exposure to mitigate currency fluctuations

  • Execute approved strategies for foreign exchange risk in line with business objectives

  • Negotiate and source competitive FX pricing while adhering to internal policies

Credit and Liquidity Risk Management

  • Monitor overall credit risk exposure, assess customer accounts, and track payment performance

  • Update daily collections and outstanding receivables to ensure cashflow accuracy

  • Conduct and report on credit review committee meetings

Financial Risk Monitoring

  • Identify, assess, and monitor financial risks across group activities

  • Track key risk indicators and trends to enable timely escalation

  • Prepare and submit quarterly financial risk updates for internal stakeholders

Corporate Financial Policy Compliance

  • Ensure alignment with the company’s financial policies and governance frameworks

  • Identify and report compliance gaps, support updates to internal controls and processes

Credit Risk Assessment Systems

  • Review internal credit assessments to ensure consistency and compliance with internal standards

  • Recommend securities and payment terms to mitigate project risk exposure

Reporting and Audits

  • Prepare monthly, quarterly, and annual risk dashboards and reports for senior management

  • Submit required financial risk data to regulatory bodies as needed

  • Support annual audit activities by verifying financial information for group and affiliate entities

Requirements:

  • Bachelor’s degree in Finance, Accounting, or a related field

  • Minimum 3 to 5 years of experience in corporate finance, financial analysis, or financial modelling

  • Strong analytical skills with a proactive approach to risk management

  • Familiarity with financial reporting requirements and governance standards

  • Excellent communication and stakeholder engagement skills

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