Market Liquidity Risk Management Sr. Specialist

Home Credit Indonesia • Jakarta, Indonesia • Posted July 10, 2026

About the Role

Job Descriptions:

  • Drive Enterprise Risk Management (ERM) Framework & Policy
  • Monitoring Risk Appetite & Risk Appetite Limit (RAL)
  • Counterparty Credit Risk Management to ensure the exposure remain within approved limit.
  • Liquidity & Funding Risk Management. Full compliance on liquidity monitoring metrics (Cash in Hand, 30DLR, Stress Test, etc.). Liquidity Contingency Plan (LCP) and trigger reporting are prepared.
  • Market Risk Management (Interest Rate Risk and FX Risk exposures are maintained within approved risk appetite. Book Value of Equity (BVE) monitoring and stress testing are conducted regularly)
  • Risk Governance & Committee Management.
  • Reporting & Regulatory Deliverables (Soundness Level, Risk Profile, and other regulatory reports are complete and accepted. Conglomeration reporting and stress testing)
  • Develop, implement, and monitor the effectiveness of Enterprise Risk Management (ERM) Framework a...