Senior Consultant Financial Services

Southeast Asia
Postgraduate degree
Functional areas

Join the Consultant / Senior Consultant - Financial Services Risk Management (Modelling Experience) practice and you will provide a well-integrated broad array of risk management services to capital market participants within banking, capital markets, asset management and insurance. FSRM includes individuals who have industry, client and product knowledge as well as quantitative, regulatory, project management and technology professionals. Our teams work together to coordinate the delivery of risk management, regulatory and business performance services.

FSRM products and services include Credit Risk/ Capital Adequacy/ Liquidity Risk, Market Risk, Operational Risk, Enterprise Risk, Structured Finance, Anti-Money Laundering, Regulatory Compliance, Prudential Supervision, Bank Holding Company reporting, and Quantitative Advisory Services.

With so many offerings, you have the opportunity to develop your career through a broad scope of engagements, and formal learning. That’s how we develop outstanding leaders who team to deliver on our promises to all of our stakeholders, and in so doing, play a critical role in building a better working world for our people, for our clients and for our communities.


  • Advise the largest financial institutions on a range of prudential and supervisory issues including regulatory and compliance, credit risk, market risk, insurance risk
  • Conduct risk management advice and framework design and operational effectiveness
  • Develop and validate models across all relevant financial risks following regulatory compliances
  • Work effectively as a team member by sharing responsibility, providing support, maintaining communication, and updating senior team members on progress
  • Develop and maintain productive working relationships with client professionally


  • Bachelor or Master Degree in Economics, Quantitative Economics, Computer Science, Statistics, Financial Engineering, Financial Risk management, or other related field
  • 1 – 5 years of experience in Risk Management (Credit, Market, or Operational Risk) in Banking, Leasing, and Insurance business
  • Relevant experience in banking/capital markets at a commercial bank with a well-developed credit risk management infrastructure, or comparable experience working as an advisor to financial services companies
  • Preferably knowledge in IFRS 9, BASEL, and Financial Modeling
  • Preferably FRM and/or CFA certified
  • Experience with data analytic application such as SAS, SQL, R, Visual Basic
  • Strong analytical, problem solving and managerial skills, and creativity
  • Good communication, interpersonal, and presentation skills
  • Excellent Thai and English communication skills
  • Able to work independently, or as well as to be a good team-player under the pressure and within a strict timeline

Job information

Firm: EY

Location: Southeast Asia

Education: Postgraduate degree