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Manager I Risk Management Division & Basel Unit I at SHIMANTO BANK LIMITED
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Contact Information
us****@****om
(386) 825-5501
Location
Dhaka, Bangladesh, BD

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Experience

  • SHIMANTO BANK LIMITED
    • Dhaka, Bangladesh
    • Manager I Risk Management Division & Basel Unit I
      • Feb 2022 - Present

      Job Responsibilities: โ–ฃ Ensuring the Basel III implementation in the bank and Informing the CRO, CEO, and Top management about the position of the capital and any other risk issues regarding required capital maintenance. โ–ฃ Measuring the Capital Adequacy Ratio and Risk-Weighted Assets (RWA) of the Bank as per Basel III Guideline. โ–ฃ Preparing and analyzing the Supervisory Review Process (SRP) report as per the Basel III Guideline requirements. โ–ฃ Preparing and evaluating the Monthly Risk Management Report and half-yearly Comprehensive Risk Management Report (CRMR). โ–ฃ Coordinating the Bank-wide Risk Management as per the policies, guidelines, and circulars issued by the bank and regulatory bodies. โ–ฃ Supporting the Board, BRMC, and ERMC in the formulation, review, and approval of the Bank-wide risk governance framework, which includes the bank's risk culture, risk appetite, risk limits, risk policy, and MAT. โ–ฃ Utilizing the Stress Test result and scenario analysis to better understand potential risk exposures under various adverse circumstances. โ–ฃ Post Disbursement Credit Risk Analysis & Resolution report of clients under Credit portfolio and inform the top management whether to initiate early alert monitoring regarding any client. โ–ฃ Analyzing macro-economic conditions and impending risk issues for the bank and informing the top management about any new risk issues. โ–ฃ Proposing strategies for strengthening capital base, decreasing capital requirement, Risk-Weighted Assets, and risk mitigation. โ–ฃ Developing & implementing the counterparty limits, reviewing and monitoring the limits, and monitoring CRR, SLR, AD Ratio, LCR, and NSFR. โ–ฃ Arranging Expired, to be Expired, & Unrated Clientsโ€™ Credit Rating of Credit Portfolio. โ–ฃ Assisting senior management in formulating strategic planning considering the bank's risk exposures and demonstrating presentations before the senior management on reports, risk issues, and any other issues as and when required. Show less

Education

  • University of Dhaka
    MSS, International Relations
  • University of Dhaka
    BSS, International Relations

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