Job duties: Conduct data analysis on risk related issues and to support the planning of strategy Co-ordinate change requests of credit risk monitoring systems and tools Represent users to participate in requirement, implementation and UAT phases Perform research and keep abreast of the regulatory requirements and market practices on Basel…...
Credit Analyst (Bank)
Job duties: Responsible for credit analysis and review Preparation of credit proposal write-ups for corporate banking. Job requirements: University graduate in Economics, Accounting, Business Management or relevant disciplines Over 6 years of relevant experience in banking industry, preferably with exposure in sizeable and structured financing relating to debt issuance, syndication,…...
Risk Manager, Strategy and Analytics (Bank)
Job duties: Conduct data analysis on risk related issues and to support the planning of strategy Co-ordinate change requests of credit risk monitoring systems and tools Participate in projects on user’s perspective and liaise with IT and external vendors on system development projects Represent users to participate in requirement, implementation…...
Credit Analyst
Responsibilities: The right talent is responsible for credit analysis and review as well as preparation of credit proposal write-ups for corporate banking. Requirements: University graduate in Economics, Accounting, Business Management or relevant disciplines Minimum 8 years of relevant experience in banking industry, preferably with exposure in sizeable…...
Credit Analyst – Financial Institutions (Banking)
Job Duties Perform credit assessment and portfolio monitoring on a portfolio of banks and non-bank financial institutions Prepare credit proposals, conduct credit evaluation and monitoring Perform country/industry research Perform ad hoc projects and assignments as required Requirements Degree holder with minimum 5 years’ banking experience in credit risk management and…...
Senior Risk Manager, Basel Modelling (Bank)
Responsibilities: Perform the various initiatives assigned by Risk Strategy Head Lead and plan the development and enhancement of the credit risk rating models, IFRS9 Expected Credit Loss models and stress-testing models etc. Review the impact of the key risk areas for Basel III development and IFRS9 standards Requirements: University graduate…...
Bank Risk Manager
Job duties: Perform analysis and identify the key drivers attributable to the movement in impairment loss among various bank business lines Review and analyze the asset quality of the Bank Group with reference to information reported by Risk Owners Review the loan loss allowance to ensure its adequacy and compliance…...
Manager, Risk Modelling (Bank)
Job duties: Formulate stress test models for the Retail and Commercial portfolios, estimate the impact in impairment and monitor stress test results Work with Group Risk, other Divisions and outside Vendors on the IFRS 9 and BASEL projects to meet the compliance requirements Participate in IFRS 9 validation & enhancement…...
Risk Manager (Bank Basel Modelling)
Responsibilities: Lead and plan the development and enhancement of the credit risk rating models, IFRS9 Expected Credit Loss models and stress-testing models etc. Perform the various initiatives assigned by Risk Strategy Head Review the impact of the key risk areas for Basel III development and IFRS9 standards Requirements: University…...
Senior Risk Manager (Bank Digital Risk Control)
Job duties: Conduct data analysis on risk related issues and to support the planning of strategy for the Bank Co-ordinate change requests of credit risk monitoring systems and tools Represent users to participate in requirement, implementation and UAT phases Participate in projects on user’s perspective and liaise with IT and…...