Responsibilities:
- Lead credit risk management initiatives for designated departments/countries, overseeing credit line implementation.
- Conduct regular customer meetings to address deferred collection requests and conduct internal credit risk training sessions.
- Prepare and present periodic reports, including "Over Credit/Past Due reports," and monitor collateral.
- Manage commodity and FX positions for the company and its affiliates.
- Provide supervision and guidance to team members within business and corporate departments on credit lines.
- Proactively manage daily credit risk and provide strategic guidance to optimize profitability.
- Develop and implement reporting and monitoring mechanisms for comprehensive risk management.
- Monitor collateral validity, guarantees, and market trends, offering proactive risk mitigation solutions.
- Identify market relationships and anomalies to provide a competitive advantage and drive informed decisions.
- Conduct ad-hoc analyses and provide logistical support for projects.
Requirements:
- Bachelor’s Degree in any field.
- Minimum 3 years of credit risk management experience.
- Strong knowledge and skills in credit risk.
- Proficiency in Excel, Microsoft Word, and PowerPoint.
- Excellent interpersonal and communication skills.
- Interest in Market risk (Forex risk & Commodity risk).
Please send your resume in MS Word format to [email protected]
EA Licence No 18C9228 Registration No. R1108261 (Tan Li Tze)
Only shortlisted candidates will be notified.