Credit Risk Management

1 day ago


Singapore Robert Walters Full time

Description Credit Risk Management Employment type: Full-time Our client is seeking a "Credit Risk Management" . This role offers an exciting opportunity to join a global team, providing top-tier service to existing and prospective clients while expanding the business on a product and global level. The successful candidate will be responsible for acquiring new clients, managing existing relationships, and contributing to the company's mission of becoming a Top Clearer worldwide in commodity markets. Job Responsibilities Maintain and enhance credit analytical tools and techniques, to support effective monitoring and review through Stress Testing, Early Warnings, Economic Capital framework (concentration management), Risk Appetite Framework and Heat Map. Actively collaborate with regional branches and subsidiaries to enhance local credit risk management practices, frameworks, and initiatives, ensuring alignment with regional and global best practices. Provide expert guidance and hands‑on support to drive innovation and strengthen the APAC region’s overall risk posture. Partner with both 1st and 2nd line of defence teams, as well as global and local credit risk management counterparts, to facilitate comprehensive risk reviews and constructive challenges. Deliver actionable insights that support sustainable, disciplined business growth strategies across the region. Manage the BAU processes to ensure timely and accurate deliverables; and drive process enhancement to improve the process efficiency and effectiveness. Assist with the preparations of the regional credit risk management committee. Maintain a good understanding of macroeconomic trends, market movements, regulatory developments, and other credit‑related events that may impact the credit portfolio. Proactively monitor and evaluate pertinent information to support sound decision‑making and robust risk management. Job Requirements Minimum of 4 years of experience in credit risk analytics or risk management function, with prior experience in either quantitative analysis or risk/data modelling (such as credit portfolio analysis and reporting, stress testing and early warning frameworks). Experience in analyses and interpreting large and complex data sets. Experience in Microsoft Excel; knowledge of Excel VBA, SQL, or R programming. Strong articulation and communication skills to facilitate discussion and decision making. Preferably to have a degree in accounting, finance, statistical analysis, or an equivalent field, with familiarity with financial products and banking operations. Demonstrate ability to work and communicate effectively in a team and collaborate proactively. We welcome applications from all candidates and are committed to providing equal opportunities. Seniority level Associate Employment type Full-time Job function Finance #J-18808-Ljbffr Industry Other Category Finance Sub Category Risk Management & Quantitative Analysis


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