Line of Service
AssuranceIndustry/Sector
FS X-SectorSpecialism
Conduct and ComplianceManagement Level
ManagerJob Description & Summary
We believe that challenges are better solved together. That's why you'll join a diverse, global community of solvers - an unexpected mix of people that come together to build trust in society and solve important problems. With us, you are encouraged to lead with your heart and values, and where your unique skills are developed and put to work in unexpected and exciting ways, superpowered by technology.How will you value-add?
You will be a part of Risk, Regulatory and Compliance in Risk Services, and you will experience a dynamic and fast-paced working environment. From potential start-ups to renowned local and global financial institutions, clients look to you for audit, regulatory, listing, private placement, corporate change and other business-related risk and compliance advice. Together we can build trust and solve important problems.
You’ll work as part of Risk Modelling and Advisory, a team of subject matter experts and extensive industry experience, helping our clients solve their complex business issues from strategy to execution. Specific responsibilities include but are not limited to:
Providing modelling expertise to external clients in areas related to risks, capital regulations and valuations.
Conducting risk reviews and internal audits; formulating recommendations for processes and controls to better comply with regulatory requirements, regulators’ expectations and industry/market best practices.
Providing support to financial services and general audit engagements on complex financial instrument valuations and expected credit losses.
Working with our strategic alliance partners to formulate new services / product to the market (e.g. risk vendors).
Working on business developments or new market opportunities.
Managing key stakeholder relationships, including communication of the scope of work, findings and observations, industry updates.
About You
At least 6 to 8 years of valuation or risk modelling experience in a big 4 audit firm, service provider or financial institution.
Previous employment with financial institutions like banks and asset managers will be highly preferred.
Familiarity in areas of corporate treasury and/or risk management (with focus on market, liquidity, credit risks).
FRM/SCR certification and knowledge of climate risk modelling are ideal.
Meticulous and attention to details, possessing an analytical and enquiring mind-set.
Good verbal and written communication skill in English. Additional proficiency in Mandarin will be an advantage.
Professional, confident and highly motivated self-starter, with an ability to handle multiple engagements/projects in a fast paced environment with tight deadlines. Positive attitude to learn and strong team player.
Possess strong values, personal integrity and emotional intelligence.
Education (if blank, degree and/or field of study not specified)
Degrees/Field of Study required:Degrees/Field of Study preferred:Certifications (if blank, certifications not specified)
Required Skills
Optional Skills
Desired Languages (If blank, desired languages not specified)
Travel Requirements
Not SpecifiedAvailable for Work Visa Sponsorship?
YesGovernment Clearance Required?
YesJob Posting End Date
June 30, 2025At PwC, our purpose is to build trust in society and solve important problems. We’re a network of firms in 152 countries with over 327,000 people who are committed to delivering quality in assurance, advisory and tax services. Find out more and tell us what matters to you by visiting us at www.pwc.com. PwC refers to the PwC network and/or one or more of its member firms, each of which is a separate legal entity.
Content on this page has been prepared for general information only and is not intended to be relied upon as accounting, tax or professional advice. Please reach out to your advisors for specific advice.