Job Responsibilities
- Conduct in depth analysis on APAC credit portfolio and prepare reports to senior management in the regional committees and manage internal reporting.
- Improve regional credit portfolio management methodologies including Stress Testing and credit portfolio management.
- Conduct assessments by applying mathematical, accounting and qualitative knowledge/skills to develop credit risk metrics and stress test model.
- Enhance and automate internal and regulatory reporting related processes and data management.
- Liaise with internal/external stakeholders on credit risk portfolio matters.
- Support all internal credit risk management planning and the other requirements (e.g. review other branches local policy and procedures, provide the data for their analysis)
- Ensuring integrity of reports generated to guarantee accuracy and compliance at all times
Requirements:
- Degree in Finance, Accounting or risk management.
- At least 2 years of relevant working experience in corporate credit risk management of Financial Institutions.
- Possess good analytics skills with demonstrated strong verbal/written communication skills.
- Able to handle time-bound reports/ deliverables.
- Strong Excel Skills and Programming Skills such as SQL, Access, SAS or VBA
- Self-motivated and strong team player with ability to work in multicultural team.
- Knowledge of MAS regulatory reporting rules and requirements will be beneficial.