Mohd H.
at Bank Negara Malaysia- Claim this Profile
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Bio
Experience
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Bank Negara Malaysia
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Malaysia
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Financial Services
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700 & Above Employee
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Jan 2017 - Present
Administer, manage and pursue new development for twelve funds (multi-currency) • Formulated strategic asset allocation (SAA) in line with the objectives of the funds • Execute investment strategies based on market outlooks within approved investment guidelines and parameters • Introduced and implemented environmental, social and governance (ESG) mandate • Monitor, assess performance and formulate allocation for external fund managers • Reviewed, proposed and implemented new benchmark to improve risk-adjusted return • Undertake timely updating and reporting to stakeholders while addressing any concerns arised. Show less
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Jul 2015 - Dec 2016
Monitored credit and counterparty exposures against limits, and rating actions by the international rating agencies (Moody’s, Fitch, S&P), and local rating agencies (RAM, MARC) • Reviewed, assessed, proposed and implemented new limits by country, issuer and counterparty • Highlighted emerging risks and impacts, and proposed actions • Constantly kept abreast with the latest developments • Continuously updated watch list based on key risk events.
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Aug 2006 - Jul 2015
Monitored market risk exposures against limits • Reviewed market risk controls and limits to realign with management’s risk appetite • Performed validation on market risk modeling • Identified and highlighted emerging trends as well as key risk areas • Generated risk and performance reports to the management • Performed stress testing and scenario analysis • Collaborated with the front office on portfolio optimization.
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Education
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University of Warwick - Warwick Business School
Master of Science - MS, Financial Mathematics -
Purdue University
Bachelor of Science - BS, Actuarial Science